Bobby, thanks very much for sharing the basis of your model. I look forward to a research group publishing some numbers, it's time someone did so and the placing is a perfect chance for one or more of the placee institutions to share the basis for their view, now they have become shareholders.
From the last six months, it seems clear to me that QPM is pursuing a win-win style strategy among its stakeholders - this means shareholders, employees, potential customers and local government. They have been open with information where it has been possible to be. However it has been left to shareholders to fill in the blanks when scaling from the PFS to the current expected range of production. So I'd like to see something in the public domain along these lines.
The variables of interest clearly are:
- volume of demand required for each product
- non-loan capital required
- risk discount pre-production (i.e. price of capital)
- USD/AUD rate
- loan size and interest rate
and these will lead to a wide number of possible outcomes. In being conservative we hopefully get a base case. I like an EV/NPV ratio of about 15% at the moment, which would be around half your 12 month target and is more like 40c. I expect this to firm up as the company continue to de-risk.
Stephen keeps going on about de-risking in his presentations; he is showing investors that he understands the mechanics of the path to getting the plant funded.
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