Feels like the market is seeing what I saw
...but not bothering to post.
The Q3 FS was as I predicted (all is well), and we got back to fair value of .60+
The Q2 dip to .37-.40 was way oversold, but a great opportunity for those paying attention. Now I catch myself feeling .71 is too high (for the ST). The volume is too thin.
But even if the SP settles to .60-.68 the fundamentals say HOLD. The next FS will confirm this is a blue chip pennystock and another strong advance will follow.