Of all the theories on this stock the most plausable is buying out of the USA. Now, if I was a big buyer, and it really started at 13c with big moves and volume, I would now sell some big volume to drag it back to say 15.5c still picking up my profit on the way down and then back in again and this time let it run. I don't believe this is a pure Australian play, the opening of a USA office has without doubt impacted this stock and it will be a winner. The people on the ground will be far better informed than us, even if it is by instinct, not announcable information.
This is only a theory for discussion DYOR and good luck to all holders
Cheers cfdsRus.
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