Mate who knows.
I am happy with the market depth at 1.7c. I think it would take something fairly negative to break through that. The flat line we have had for some time now is a positive. I don't think it is the debt holders playing around at this level like they were months ago between 1.9-2.1 range.
Totally agree with RCman in regards to his charts with a nice consolidation and support taking place.
And the IO price certainly is not affecting our SP at the moment.
I am sure that if we get a debt refinance notice and some forward looking information about the company released to market, then the daily volume will increase.
Blows me away at the lack of info from this MD, shareholders are definitely not his focus.
My patience is running out, cant see myself here in another 12 months time if there is no improvement.
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