Hi there,
I'm a long term holder and have been adding to my position in the past couple of weeks. This company's a long-term winner although I'm surprised management is not returning phone calls. I might have a go myself to test the theory.
I have a question please. Is management intending to deliver as much gold as they can into their hedging program, or do they prefer to have the short-term cash for development and exploration instead? I was a bit concerned about their high-grading in the March quarter to meet hedging commitments but I'd expect this to be a non-issue now. I guess we'll see in the next couple of weeks.
Cheers and good luck everyone,
Rowingboat.
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$28.30 |
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Open | High | Low | Value | Volume |
$28.35 | $28.51 | $28.13 | $30.44M | 1.075M |
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No. | Vol. | Price($) |
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1 | 100 | 28.050 |
1 | 107 | 28.010 |
5 | 1168 | 28.000 |
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