RE:Decison Time If this helps, I'm holding. Too many bullish factors, all indications ar le pointing to a much higher SP. This very different, uncertainty removed, much more stable, clear road ahead, escalating oil price, no longer a penny stock, in institutional 5 buck plus territory, big block trades, increasing production, reduced costs and liabilities, US$31 CFO per bbl, tax losses pending, cup and handle technical breakout, trading millions of shares a day now, cash machine increasing net cash daily, EV vs cash flow ridiculously low, market finally waking up, rerate pending, easy double, etc. I would not sell anytime soon.