I do remember, during the time they announce CN withdrawal of T2/T3.
The co predict, cash held is efficient and there will be revenue enough in H2.
So why would they need to raise money from the director or further CR.
Also why not reduce the salary instead... would that better injection money back the co.
Having pay them high.
Then let them buy Share.
Isnt that money going back to where it is. just having higher share on issue?
Yes i have mention only startup for 1 year... and i referring to the growth of company base on deal and heading towards revenue ... not bloody having dilution to extreme.
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