I'm free carrying after selling in the last run.
I think it's a great product idea with loads of potential but I'm only free carrying as I don't think management have a clue tbh. Bleed money, we've spent over 3 weeks in suspension since October. Multiple raises, unless there's lots of growth immediately they'll need another soon to pay all the staff they've brought on.
My reasons for holding are completely irrelevant to my point about the standard of this thread however. It's very, very low quality compared to other tickers. My plan is to hold into April/May and reassess then as that's my CGT discount timing I think, will need to check.
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Open | High | Low | Value | Volume |
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11 | 5279999 | 0.008 |
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7 | 6400000 | 0.006 |
5 | 8800001 | 0.005 |
Price($) | Vol. | No. |
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0.011 | 3555558 | 7 |
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