Does anyone have a plausible explanation for this pps-development? I mean ... didn´t we all together focus and hope to (for) the SHM-date ... today (9 days later) we are 10% down from the (just little) spike we saw after the actually great info we got there ... tomorrow (1st Sept.) would be the next (carrot-)date (Paramount) ... zero anticipation, no buying-pressure ... especially Winston´s regular announcements since months are looking ridiculous ... where is the predicted shock and awe (or at least a fracture of that) ... to get us to at least 0.015, let alone 0.02? Annoying.
TIA
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