Can I get some help here. We've heard $3 a steal at these prices, market conditions, global economy in retreat, mm's and all other excuses to explain the dreadful sp. I've held since buying in at $6 without increasing my position whatsoever for 11 months. I hope I can get some help here to convince me and others why we should still hold on. DD can only go so far. $ is $ and sometimes we have to learn to cut our losses. I've been quiet so far but under $2 is a real concern. I hope management can step in. It would be good to hear from Rosedale or others like him with his experience. This is a forum where we share our knowledge. It's great to hope but know we need HELP! Thanks