I just went backed and checked the timeframe between market sensitive announcements. We are now in the longest period between market sensitive announcements (not counting quarterlies with nothing really new), since initial discovery.
IMHO hence why the big money has been able to move the SP to wherever they wanted. It also must means we must be very close to the next market sensitive announcement..
also makes me wonder if management have had a bit if a break after a very hectic 18 months leading up to release of mets, MRE and cap raise, with the next announcement meaning back in full swing again..
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