Guys
i have significantly reduced my position over last few months for a combination of reasons . One is to offset gains on other holdings and two to wait for August results and see now Votiro is tracking and how close it Is to break even is
I admit by optimism was misplaced and I thought it would have rerated higher when Ravi presented months ago. The clincher to reduce heavily was when one of the posters reported big withdrawals out of the SPAC that was meant to list EON as to me this money coming in would have guaranteed Votiro could be funded well past the break even point and to a level where is was a significant company
see you all at results time . I still like the story but want to see ARR near 7-8 m USD by August
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Is my maths correct? Upside looks compelling, page-48
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4 | 1874174 | 0.025 |
1 | 500000 | 0.024 |
2 | 620000 | 0.023 |
1 | 23436 | 0.022 |
Price($) | Vol. | No. |
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0.028 | 1222714 | 4 |
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