four mills then. Outcome is the same. I don't follow producers.
Takeover is the lowest risk, highest upside scenario in terms of risk vs reward. Retail always understates & underestimates how powerful ramp up and development risk, particularly in a high inflation environment. Let's not forget the history of the asset too.
I'm a Spartan bull but ultimately you don't want to be left holding the baby in a sole asset company imo, the risk-reward profile doesn't stack up.
SPR Price at posting:
43.0¢ Sentiment: Hold Disclosure: Held
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