Okay you might tell I'm bored too but hell its all about speculation after all.
So what is a likely scenerio?
He's my call....
With an AGM in April (which will involve a motion for reconstruction) the company has to be on solid ground with positive sentiment amongst its shareholders to justify the change will maintaining market strength.
At the latest this means that shareholders will receive notice of meeting no later than say 15 April (worst case)
This leaves the period from today 26 Mar - 11 April to impart confidence to the market.
So with expected drilling results due NLT Wed 2 April and financials before next Monday 31 March it seems that strategically the work has to be done in that confined space of time.
Clearly the results need to be very good to drive positivity but perhaps there is more such as any Chinese connection?
Seems that whatever way it goes we are just about out of the wait be it good or bad.
Opinions on this?
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