£3 to £2 loss of a 3rd in equivalent to asset right off but they did say the right off would be offset through other items to low the blow which has had no positive impact, don't see 1.50 and expect recovery back to £3 as it already fell hard b4 on CEO n possible leaks
After losing over 50% isn't enough ? To call it a buy?
This is not revenue based it's not valued on revenue alone but potential of the various items in pipeline
Really can't tell anymore someone is pulling the string on this through tiny volume but n sells
I can only assume it's a shake out b4 a bounce but I maybe biased because I have a position