I first got in in May 2013 but I did sell 25% or at times sold 50% when it climbed as that is my style trying to keep my residual cost low. This has been a long time but in reality I am sad that my average is around 50c ( having adjusted the price for the consolidation) as I picked up a lot in the CR's especially around 9.6c and really after all of that time its still around 50c.
I think it will get to be a great investment but the time and dilution has at times suggested to me that I underestimated the cost of getting these products to a point of JV or a point of profit.
I think its still around 24 months from a position when we can decide if its going to arrive or plod along.
These types of stocks do get ramped to death - I try to sell down when there is huge hype and even if I lose a bit of the upside often in this end of the risk area it helps me accumulate more when it falls back into reality zone.
Any way I am happy with my average and in reality I think its about fair value - I underestimated the costs and time to get CC out there...
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I first got in in May 2013 but I did sell 25% or at times sold...
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