Hate to be a negative Nelly but the SP on this one has been trending south for months on end. Will crack the 5c's soon. It seems that most long term holders only have blind faith or are bailing with unsubstantial losses. Appreciate missiles being shot at you and floods and what not but that isn't really the general basis for investment rationale.
I brought in off the back of the Boeing contract ann (assuming this could trigger other contracts) but post this it has been a steam of bad news with no clear plans or processes to push the company forward. It seems now we simply hope exchange rates work in our favour!! Im down 33% after circa 3 months. The question im pondering is do i pull the rip cord or is say 5c the bottom or is there more free fall installed? Would love to hear any comments around how QHL might send the SP north again?
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1 | 22768 | 0.245 |
1 | 10000 | 0.240 |
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1 | 2400 | 0.210 |
Price($) | Vol. | No. |
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