im pointing out what i know regarding the stock and Sam and its history to date.
Which outside the last 12 months is fairly limited.
The things ive seen demonstrated in my time on the stock have been pretty impressive - and demonstrated good management. Taking a pay cut, our low SOI, the fact that the sovereign risk and government support are different now vs 3-4 years ago.
Ive also seen the share price rise from my first 15c entry to 76.5c last week. So i dont have any historical animosity following me, but some do and im sure elements of that are valid --- id like to understand the failings of Sam Vs the failings of a false start lithium boom 3-4 years ago, and then make my decision as to whether i hold management accountable or bad timing.
And for someone that constantly down ramps and aggravates everyone on the LTR thread because you sold our way too early by the looks of it, i dont need advice from you.
check yourself and your constant tirades of crap over there before you give anyone advice.
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Open | High | Low | Value | Volume |
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---|---|---|
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1 | 10600 | 0.094 |
3 | 111876 | 0.092 |
2 | 70000 | 0.091 |
3 | 228000 | 0.090 |
Price($) | Vol. | No. |
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0.100 | 204340 | 4 |
0.105 | 37000 | 2 |
0.110 | 9886 | 1 |
0.120 | 97796 | 1 |
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