I have serious doubts about management calibre in this company too - its only the irresistible leverage on the options with 14 months to run that keeps me in - I figure a moderately positive result could see the sp to 7-8c and oppies to 3-4c from here, a great results could see 10c/6c or even higher.
And you never know - good results might see a takeover bid from a major on good terms. Anybody know what happens to the options in the case of a takeover?
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