Volume is still tiny, but selling depth appears heavier than usual. The lack of news from the company is concerning. Contingent reserves and 'lots of potential' are only going to keep holders holding for so long.
I really want EPG to give me a reason to continue to hold, even it's just a glimpse of whatever they showed to the instos during the debt restructuring.
I wonder if the supporting buyer can handle some real selling pressure?
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