Sharing the Risk and Return of this Penny stock - *Reminder - High Risk*
Monte-Carlo results (summary)
Expected (mean) price ≈ US$6.49 (≈ 2.36× current price).
Median price ≈ US$1.375 (≈ 0.5× current price).
Probability price > current ≈ 40%.
Expected total return ≈ +136% over ~1.75 years.
Annualized expected return ≈ +63% / year (highly volatile and driven by tail outcomes).
Key percentiles:
10th percentile ≈ $0.275 (severe downside).
25th percentile ≈ $0.275.
75th percentile ≈ $8.25.
90th percentile ≈ $27.50.
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