with a 35mil net cash positive position and 50 odd mil to start up again. would it be unreasonable for a CR to be on the cards to play it safe?? hence the stagnant SP on back of nickel highs and positive resource Ann's? I'm just trying to time my entry, doesn't make sent for holders to sell at a loss today, seems something else is at play... are the big boys suppressing the SP to pick up cheaper shares in a CR??
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