It’s one thing to talk about it and another to address it.
Instead of providing lame excuses that other companies are short, or people are using the companies to take a position against commodity prices… how about looking at the facts.
Over 25% each and every day of the total volume on the ASX is short. That’s manipulation, so what are their actions or message to the market manipulators.
Why are we doing their job discussing here?
All else at that meeting sounded quite positive. This company will get up, but it’s up to the board how little value we retain.
In my view, at the moment they are not representing our value very well, with regard to action on shorters that will impact the equity raising price.
Open to discussion here?
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