Yes, Im with ya. Dont see a prob from this angle too. The story...

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    Yes, Im with ya. Dont see a prob from this angle too. The story is compelling, the deal removes uncertainty for shareholders with financing. The company AND the market (hence the SP) can move on without tbe stigma.

    I enjoyed Stockrock & madams argument & 100% pro the current path the company has taken. Overanalysing the deal is fine in the longer term, but... within 6 mths time eyes on the prize guys, I thk the market will focus on the prize and the details later wont matter. A CR IMHO would have put a brake on the SP like in the past- this is brilliant. Swift action financing instead of languishing with a CR. There's plenty time, and options!, for partnership and fully diluted share offer LATER, when the SP is $2.50-$3.00+, once a couple more Phase 3, phase 2B results come in. This is the home stretch and I believe the market will reward this course of action by MSB, once its taken its breath and then SP has settled back into equilibrium.

    So the SP has pulled back to "neutral" RSI 50 & 18 days MA. So why won't it do that? 12 days straight run and riding the Bollinger Bands into overbought territory, so capital preservation take some off the table. Prices looking good again, re-entered Fri, might be a tad early but taking ad of the fri close & the story's too good. Dunno if stokdog has gotten backin too? Lets see if I'm right here & if it 'll either move sideways or continue accumulating up the new uptrend up the 18 day to 9day ma supports. No problems if it fluctuates abit from that path.
    Last edited by songokou: 11/03/18
 
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