What's the mood here amongst investors? Is this worth more dead or alive?.....breaking up the company and selling each asset to the highest bidder and delivering proceeds to long suffering shareholders or trying (again) for an operational breakthrough (under yet another management team) that delivers a gain of some magnitude but is obviously high risk and keeps this ticking over? Doing the same thing hasn't worked, was Cottee right to accept the deal at 20c in hindsight considering where we are today?
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