toggs, that last post of yours made no sense to me whatsoever.
I think you are or were a holder of NST but I'm not sure.
It's pretty important when you do such comparisons that you include all the pivotal information. This includes debt and cashflow.
MYG will take a good 2 years to pay back their debt whereas NST were debt free 12 months ago.
So essentially what you're saying is that MYG might begin to behave like NST in about 2 years time if all goes to plan with production and that it's a good idea to have your money sitting in MYG for that period.
I'm going from memory on the 2 year pay back period, is this correct? Pretty sure that was the figure when I researched it a little while back.
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Open | High | Low | Value | Volume |
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No. | Vol. | Price($) |
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1 | 8750 | 0.690 |
1 | 10000 | 0.680 |
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1 | 1499 | 0.665 |
Price($) | Vol. | No. |
---|---|---|
0.725 | 26250 | 1 |
0.730 | 1403 | 1 |
0.775 | 2452 | 1 |
0.790 | 5567 | 1 |
0.800 | 6061 | 1 |
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