..."Well this is great... but useless until i know how much of that company I own !!!
(Come on AUZ ... please clarify) "...
Bit surprised with your question...It's all there in the announcement:
http://imagesignal.commsec.com.au/d...nZXNpZ25hbC9lcnJvcnBhZ2VzL3BkZmRlbGF5ZWQuanNw
A great strategic move by AUZ
* Cut down your overheads, no need to pay for leases and associated fees for those exploration assets
* We retain 30% of all those assets
* No further dilution for AUZ holders
* Very strong upside potential for AUZ holders
* Norwest Gold will have ~AU$6.5mil in the bank ~Oct'18
* Norwest will have only 63million SOI with AU$6.5mil in the bank
* AU$1mil seed capital already secured for Norwest, this will go towards IPO costs and some of that AU$1mil will come to AUZ for certain costs and expenses already paid in relation to the IPO (including in relation to the transfer of assets to Norwest).
* AU$4 mil of the total AU$6.5mil to be raised in the IPO are already secured by Cornerstone Investors
* This will leave only AU$2.5mil available to be raised...this is where the immediate benefit for AUZ holders comes into play...to get int a Co at IPO level that has very highly prospective 'Drill Ready' targets
--will have AU$6.5mil in the bank -- and only AU$2.5mil will be available @0.20c -- I would say it will be heavily oversubscribed -- any sniff of some strong drill results and your initial 0.20c investment will multi-bag very quickly -- assuming holders have some spare cash to invest by Oct -- even if not we all will still have the 30% holding in Norwest, if they hit some good targets our 30% will be worth a lot more and AUZ can decide if they want to SELL or HOLD.
Looks like a very good move to me.
All IMO
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