It was always the immediate risk once it became a going concern and still a high probability near term IMO. Wonder if BOFA recent antics is anyway connected given their indiscriminate selling. Typically I would ignore this type of volume and assume it's related to ETF/Index re-weighing. It would seem to support the manipulation arguments a few posters have raised and would be hard to defend against. Lets get the updated JORC out ASAP and confirmation that settlement includes both tax incentives and royalty concessions. Then move onto the blue sky where local landowners on our SPLs are so keen they've even ask our exploration teams to inspect their own workings.
That way bidding starts at $4-$5 range before we even engage in the process.
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