Saracen undertook massive hedging to buy their half of the superpit. They bought the super pit at much lower POG. Over the Top hedging is generally a function of banking covenants. This was the case with Saracen.
I don't know if RRL undertook more than years 1.5 years of production to secure fundng.... anyone here such a long term owner to know the answer?
All things equal a typical hedging policy is 30-50% hedging of annual production rolling, to take it out to more than 1.5 years tells me they did it to build the company on the back of funding a company generating asset, as they did with Sarecn.
All speculation........... but my simple thoughts are excessive hedging is a sign of debt covenants to secure a future instead of dilution.
Which brings us to t he question, is diluution better than excessive hedging?
My answer to that is depends on the direction and price of gold. I think this time is better......debt increase was minimal - 20%, supported by 20% cash - cash on hand basically marries new debt. The cap dilution was a future (POG) proof strategy to avoid additional hedging.
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Ann: Change to Hedging Structure, page-7
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Last
$4.08 |
Change
-0.025(0.61%) |
Mkt cap ! $3.068B |
Open | High | Low | Value | Volume |
$4.05 | $4.10 | $3.95 | $3.140M | 777.2K |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
27 | 15363 | $4.07 |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
$4.08 | 18537 | 30 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
25 | 14967 | 4.070 |
27 | 51863 | 4.060 |
22 | 57982 | 4.050 |
12 | 21904 | 4.040 |
10 | 16155 | 4.030 |
Price($) | Vol. | No. |
---|---|---|
4.080 | 16749 | 28 |
4.090 | 28083 | 22 |
4.100 | 81348 | 23 |
4.110 | 48092 | 9 |
4.120 | 127286 | 8 |
Last trade - 11.13am 29/07/2025 (20 minute delay) ? |
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RRL (ASX) Chart |