Firering Strategic Minerals: From explorer to producer. Watch the video here.
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Fantastic volume.Dyor
shes gonna blow !
Are we building the value here early so for the expected RNS so that when it lands we will be disappointed that we don't see a large leap. Or is this a genuine build because of the lack of shares available and the MM are just lifting the price to get people to sell so they have shares available. I know that is impossible to answer i am just thinking out loud. The question is of course going through my mind because lets be honest I will want to sell at some stage and take some profit. The other question going through my mind is that if I do sell for profit and then further down the line the company is bought out and its valued at 750m to 1b and sells for £10-£15 I will be as sick as a pig. I can't be the only person thinking this so just wanted to vent my thoughts to see what the collective members out there are also thinking.
Great rise today though and long may it continue
Sell when you're happy and ignore whatever the price gets to, you could make it to £10 with a buyout or as with my AML you could wait and wait for a return to those levels which never happens. I could have sold at £5 ish and made a nice amount for a rookie, I held and kept waiting on the RNS to send it back up. I'd be happy making 20k at £5 now and probably would sell most of my holding at that price.
My thoughts also B1967, also going around my head is if the Results + forward guidance are as good as we hope and lets say the SP rises to £7, does the Share/Mkt-Cap still get re-rated? and is there a time period for this to happen? Same day? same week? same month?
and finally, do we have the same thoughts at the start of July, if Junes production tops 10m Kits = £90m+?
what the feck 22 P spread on IG
My Understanding is the mcap and the sp go up hand in hand IE sp times 68m shares is the mcap its no more complicated then that. The difficultly is when people see the mcap as being unrealistic when the company has no product or sales which as we know some of the other covid-19 shares have. We are the opposite low mcap and great product and sells. This is why we are seeing the rise in my opinion.
Bramley - Your 15.57 is the classic shareholder dilemma - The answer lies in the old adage, 'It's not about timing the market, it's about time in the market'.
Trying to sell at the top and buy at the bottom all the time leads to blood pressure tablets and an early grave, so 'buy and hold' until your target price is reached, accept you won't make as much as the pro traders and enjoy the warm weather while you can. Sitting in front of a screen day after day is no fun!
ATVB
Sell now, RNS drops post 4.30 and you have missed the boat.
Hi Trintyman,
I think you are absolutely right its being pleased with the amount that you make and then never looking back. Unfortunately its human nature I suppose. The niggling feeling I have is companies like this come along once in a blue moon and all the indicators of them partnering with two huge giants, right product at the right time, new products coming, director buys. If you join up the dots a buyout could be on the cards, and then Boom we all win big time. Is that worth the gamble. That's the issue that only GM knows the answer.
Bramley, if we had the answer to the questions you pose we would all be rich. The chances of NCYT surviving beyond a few months looks quite secure even if the Chinese have found a wonder drug. All the scientists are cautioning us that we are not out of the woods yet. We have competitors but we have seriously good credentials, great tie ups with blue chip companies, lots of news to come. What is not to like! Have to brave to trade. I am holding, as the news to come will establish a new base. WTFDIK.
B1967 - That seems an easy way to understand a Calculation.
but wasn't somebody discussing on this BB last week a P/E ratio once you knew Sales, Profit/Income that comes into a SP Calculation, with different (Market) sectors having different P/E levels?