T/O = profit if you bought now and probably more than 100% profit if it happened within 12 months
Hold until 2018 and sp probably closer to 34c..................400%
Hold until 2020 and looking something like 50c.........600+ %
BUT...........and the big BUT................if anyone thought the above scenario was even close we would see a whole lot more buying than what we are seeing now
Are we waiting to see who gets how many before the market makes a call?
Why are we not all accumulating with very good chances of turning todays buys into good profits ?
How much risk still has to be taken off the table? It can be said that there is more risk now that the Biggies are all over this like a rash. Risk of buying us out for a tenth of what we could get
All a bit suss atm me thinks
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- AGM 26th June 2015
AGM 26th June 2015, page-302
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