But that's why one would hold it. They have an advantage when it comes to raising capital with the likes of Parsons & Shorrocks attached/involved. Plus they have a silver resource to build on if this drilling campaign produces nothing. Probable pull back in Silver here before heading to $30 level, and down the line $50+. The company will just pivot. Will be ugly for share holders short term. It's patience v impatience at this stage.
Look at FFM. Pivot to copper, Shorrocks & co raises cash with their eyes closed, share consolidation, stock having a beautiful run in line with copper.
Which means the upside here is still tremendous on any decent finding. All imo.
What's your fascination here as a non holder?
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