Yep, and this is most important! We definitely do not want to attract the fast money real quick type of investor mantra, agreed.
One way or another the way i generally see these things is that a company generating its own profit and sales will bring that return to SH either through SP in equity value or Divs way down the track. Anything else in-between spiky up or spiky down is liquid/il-liquid speculation that distract otherwise susceptible weak holders to temporarily panic.
My biggest money is made from being Long with good long life projects that have multiple revenue source upside.
ANW has 9 years minimum at Taronga with heaps more upside to this as well as access to very high in demand short supply commodities, Tin, Co, Ag, Cu, Au, Pb, Ni, Ti, Li and still may be probably missing some other to!
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