With each passing day very fundamental good news reported by the
company has had little impact on our share price. We have had periods
like this before. There was a time when one of the most important market events
that we monitored was the building of conversion plants. All of this building at the time
taking place while the mining end of things was honkering down.
It was like a spring being wound tighter and tighter and the spring finally exploded
to the upside. I feel we are in a similar situation now. While there have been some
hiccups announced such as decreases in production, overall the critical announcements
have all been positive to very positive. Will the upcoming quarterly report be the catalyst
to the spring unwinding or will we be confronted with little or no positive reaction.
Sometimes it is the little things that forecast the future. Take for example the U.S.Masters
golf championship. The major advertiser was Mercedes. Every single
one of their many, many ads over the 4 days of the tournament involved an electric car.
Bear in mind all of these electric car ads are taking place during a period in which gas prices
are going through the roof. Tell me that isn't tightening the spring?
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