I bought 50K shares a few weeks ago at about .02. My
I bought 50K shares a few weeks ago at about .02. My thinking was that after the r/s, with all the good stuff percolating here, that if share price got up to $1, I'd be about even for this entire experience. It seemed reasonable, especially with the stated ambition to uplist onto a more stable exchange.
Instead, in a few short weeks, my plan is in shambles, share price is now .0065 and I'm quickly down about 70%. My question is, at this point, how is this even possible? Which leads to another question, how are we going to attract investors, going forward, with a performance like this?
It has to be part of some sort of master plan about which I'm uniformed and I'm accidental collateral damage, I can't think of any other way to make sense of it. Providing that sense can be made of it. Can anyone explain what the path out of this craziness is?
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