Hmm, really not sure I like the direct this is heading.
With the delays to DFS and any off-take agreements, it's looking more likely that options may not get converted. We were banking on these to fund much of the mine development. This to me means further CRs coming and more dilution for us shareholders. As someone who has been hurt badly by the last raise which I really didn't see coming, given Brian's previous talk of no/minimal dilution, this is starting to get a little uncomfortable.
Will there be any resolution to the DR claim that will put cash back on the balance sheet or will further raises be required.
Do I sit and forget or do I tuck my tail between my legs and take my 30% loss....hmm much to ponder...
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