1. I haven't received anything from you yet.
2. You haven't told me the minimum brokerage for buy + sell yet.
3. I have sold my SBR at 1.7 + 1.8c, after holding on to it for
7 months. 1 more week would have given me the 2c I was looking
for, or holding would have given me 2.7c that I wasn't looking
for! :-) That's the first stock I've sold at a loss.
4. I have completed the important trades at SHAW already, got the
balance of the PRM at 3.3c, asked for the account to be closed
down, and I'll probably move my CHESS soon, and Xiayi's will
probably not see any action, dependent on...
5. I am formulating a new trading plan. Can you elaborate on what
you mentioned some months ago about me sailing close to the wind.
Why did you consider buying a *selection* of mining stocks risky,
and aren't you doing it yourself anyway? Aren't you sailing just
as close to the wind? I am interested in "long"-term averages.
6. What's the future of NTS looking like? I want to hold onto it
for 5 years, any problem with that? Will it ever return a dividend,
or are we just meant to watch silly buggers buying and selling
something that doesn't actually appear to do anything at all?
7. I think there is a lot more volatility, on average, in a 4c
stock compared to a $1.40 stock. Is this generally true? What
is it that makes Climax at $1.40 different from PRM at 4c? My
guess is that the small holdings mean that the large swings come
in when a large shareholder moves and swamps the market.
Just answer from the top of your head rather than waiting for
input from official sources will you?
BFN. Paul.
@EOT:
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* Origin: X (3:711/934.9)
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