This one is a looser, no matter at which point since inception someone entered this stock he/she will be in net loss after holding for more than a month. That's how SP has continuously declined over two years. That can not happen without no reason - If I can see value there are many more with more insight and money they would have purchased this stock.
This may bounce 5-10% at some point and then continue its losing trend. How do we know how much close to reality their NAV is? I have lost full investment in very similar looking companies in 2009-10, where it looked like a bargain too good and in six months realised it was too good to be true.
My 2c worth. DYOR
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