If I had a crystal ball I’d tell you. From my personal perspective I have more than enough & am comfortable with my holding. I’m not comfortable with the current SP but I am not interested in increasing my exposure. I certainly believe the upside from here outweighs the risk - but that’s my opinion & only fits with my risk profile , what I can afford to loose etc. However I have my concerns I must confess.
Having worked in finance at a very senior level of a listed entity - Finance & Sales were like water & oil. I understood they were the drivers of the business to some extent - & that I had a career somewhat because of them but my favourite line when they were talking blue sky, potential blah blah -“ a sale ain’t a sale till the money is on the bank”.?
GMV Price at posting:
19.0¢ Sentiment: None Disclosure: Held