I own 250,000 shares. (258,000 to be exact). My average is .18 per share.
I am here because I trust my DD in the company. Good land, expansion plan, low debt, NAV above where share price is. Macro reasons is export of LNG expected to drive NG higher.
In my portfolio, I always have risk stocks as 10% of portfollio (combiniation of all risk stocks). Swing for fence, home run type potential stocks. 1 of 3 of these will be huge success, 1 of 3 perhaps make little money or lose little money, 1 of 3 will go bankrupt. This company is on it's way to success I believe, but the only issue is Macro economic issue with low oil price and possible fracking issues.
This stock could hit .05 and I will not sell - I would only add under .10. I have no fear only confidence in company plan.