Jtaylor1,SBL,Buddah3 and others
Anyone have any thoughts or ideas what they think Peter Cs strategy might be across his company investments ie AAG,MLX and WGR, Sorry if this has been discussed earlier.
My view for what its worth - MLX -preferred exit to Chinese either Jinchuan /Apac or both , WGR -buyer for the project to develop, main baby AAG through to development and dividend income ongoing , of course none of these sceanrios could eventuate ,just be nice to hear what others might think
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