Low ball buy out offer or?????So.....what are we leading up to here? Is this a precisely planned setup for a low ball buy out/take out or did money feel that selling/shorting their positions was best because they had a few months to drive it down and rebuy way below what they sold out at, then drive the stock back to 1 or 2yr highs and profit both ways?
The 1 year chart on this confuses me as I can make no sense of the relationship link between project advancement and news releases and SP.
This ones got me beat bad, but I will NOT sell my shares at this point as I feel thats one of the dumbest calls I could make rigt now.
What say all of you? Was all of this coming together not what we were waiting for? Many people invested at prices much higher then here and were speculating wether or not we would even get this far.
Odd odd odd!!
I do have to say, that an offer for my shares at .90 to 1.20 would really pzz me off at this point.
I would much rather the right NR to come along and rally us to 1.70+. Someone must be waiting for something to flick the switch. It's about time I say.
ALL IMHO
Cheers