This is just a basket case I would imagine the "sophisticated" investors are just fed up with managements claims of profits and constantly missing deadlines and are happy to flog their stock (at a loss) and move onto the next trade which will most likely make them money Management need a lesson in working capital management, they are too trigger happy to issue more stock to raise cash to by an "option" over some asset here and there, get some focus and get into production so you can expand with internal cashflow NOT by diluting my shareholder returns with another placement
CCC Price at posting:
3.9¢ Sentiment: Hold Disclosure: Held