A couple of points..
RP prices may well soften in this market - no big deal as the fundamentals for supply/demand are for constant/growing demand and constant/diminishing supply.
Demand may explode if some of the phase2 biofuels move into production.
If the options expire and SP moves ahead in the new year (likely imo) then existing shareholders come out ahead. I always felt the strike price too low - but I never anticipated this market meltdown...
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