I tend to agree with Breeze. the volumes over the last week has been incredible, but the impact on the SP is pathetic. Almost like a deliberate attempt at keeping the price down.
We were at $15.80 per share in the last 52 weeks. The overall risk has diminished significantly and our prospects for future revenue has skyrocketed.
So what is holding us down. Maybe Breeze has a point
So don't belittle his post. This is very concerning