I've got the collywobbles . I've sold my holdings in everything but LND and PXC . Far too much angst about at the moment. Only stayed in these two because I am believe the SP doesn't reflect the potential and I'm wearing a snorkel.
In the incomprehensible event that it falls to that level which seems could be a support level. Want to top up more , did so yesterday but think I might even get a lower price. Bargain bucket prices for a company with so much potential. This along with LND and EUA are my bottom drawer shares , although EUA might be plucked out soon.
This is beginning to remind me of my disastrous investment in a company called CEB resources now ADV. My shareholding on that one is 90% down and I have given up on that one ever recovering. I actually took a break from the market for a couple of years and it still plummoted further. So in terms of loss I have 13 years to get this one back. Thankfully I don't choose many donkeys but when I do they are epic.