...and call a retest of .04 or .039 followed by a recovery. Stochastics is oversold. If support fails, all bets are off.The 200-day is declining, after a slow ascent to .085. Not a comforting thought for long term investors.
that management is comforting? With their insider buys? Or track record? Or dilution of the common stock?WoW! U really r as stupid as canuck the clown
No, not stupid. Just impartial. I don't own a share.