The sp has lost over 80% since my first buying into this stock, early autumn 2009. But what is more and what I can't believe -- this is that it should be due, in the first place, to the *political risk* associated with this stock...!!
Look, if, back then, I had bought Katanga Mining instead, a company that tries to mine copper in the Congo which they admit is a "turbulent" country, and in my view is the worst you can normally think of in terms of geographical / political risk ... well, I have made up a chart of the relative developments since then, here you see what it is that I just can't believe:
http://www.ariva.de/katanga_mining-aktie/chart?boerse_id=83&compare=244921&end=2014-11-14&savg=0&size=XXL&start=2009-09-01&t=free&type=CloseLine&volume=1&go=1&go=1"eType=last