That's the biggest thing bugging me now. If he knew Production was above forecast and Drilling was going well and looking promising, why did he sell?
Based on the lack of movement in the share price today, he clearly knew he wouldn't have been able to sell his shares at a higher price today compared to the dat he sold ie 2 July 07. Does that also mean that he doesn't think the share price will go much higher in the short term?
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