mode I do agree with you but a trend is happening here with management, mixed messages to certain individuals / shareholders, missed timelines, unable to manage 3rd parties and quite frankly very poor terms and timing of latest CR to sophisticated investors and diluting everyone else in the process.
what are the other BoD doing are they assisting Peter or adding any value?
whilst they may have the tenements - what happens if a market crash happens for an extended period and they don't have the cash / commitment and JVs pull the pin (like South32 in Covid) their tenements can be picked up for not that much at all and we shareholders will be left with nothing.
this certainly comes with risks especially given performance to date from Peter and BoD it's likely to continue and repeat. Quite frankly as a shareholder I have no confidence on what they are focusing on this year and we are almost in June 2023.
copper, nickel, gold,zinc, uranium & demerger getting mentioned now. what is the actual short-term and long-term plan here? pick and choose where we drilled based on what commodity is hot at the time or actually get to development of something?
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