Bit perplexed myselfas to why any fools would consider selling down at these levels. We are near the 52 week lows but the company is way better off than the last time the share price hit these levels.
There is money in the coffers from the latest financing, drill results are currently in the lab..so why sell a measily 400K shares for .055...how much is that anyways...a whole $20k?
Only reason I can see is to shake the tree a bit before the results come out to see if they can scare some retail boys to sell off?
Had I known I could of saved half of a penny on my 700k purchased...Iol.