trust went one step lower from a low baseline after wps big uturn annoucement on CR dobynich and/or wp appear not in tune with retail investors there are many issues question revoling ar moment with lens clearly on management key for me are
will we see another cr after this? a probability factor would be helpful to investors
why are we continuing to seeing high staff turnover since code red?
how much stock will management look to acquire a sold sign of their belief in the comapny future?
why take so long to take decisions and sales in key high value markets like Spain and focused on exotic markets which appeara little roi?
if sp continues to stay in 30cents in next quarters with some traction in adapt will board consider leadership changes?(un likely to be answered)?
i am not at agm so anyone here goinf please ask.
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