cant argue with that, pretty likely the selling pressure, or at least some of it, came from those shares. that said the only near term catalyst is the next quarterly, unless tnt can land and disclose a huge gov contract because they dont disclose other client details. and as a result, coming into the christmas period and next substantial news being the quarterly due end of jan, anyone capable of providong support to the sp is looking at the same charts as us and probably be on the sidelines with marco uncertainty knowing they can afford to wait nearly 2 months on tnt.
as you say your long term and expect sp appreciation regardless, which again i dont disagree with however the difference between buying at 12c a week or so ago and the possibility of closer to 7-8c is a 30% odd loss and a 50% gain if it recovers.
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cant argue with that, pretty likely the selling pressure, or at...
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