This really really smells. Regardless what the purpose of the CR is, what difference would a month make. In a month they will have released two or three announcements plus make actual sales which would certainty increase the SP. But no, they hold off on the announcements and do a raise first which would require a larger number of shares to be issued. Who are they feeding? Why are we so critical and hateful of shorters when our own BOD are continually scuttling the SP.?
What happened to tapping into Govt govt grants? US DOD ? I'm starting to think we got NAL because the Canadians wanted Australian investors to pay for the re-start. Regardless of where the company is domiciled, the resource and it's benefits will be Canadian.
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