That's a fair enough call there baliboy. I'm trying to think what price sensitive news could be on the horizon...
1. Stabilised flows at D&L2. Maybe sales figures?
2. Further developments on the two new untitled prospects in NV.
3. Spud of T1 perhaps but I think this is more towards the later stages of February.
4. Confirmation of our umbrella policy insurance coverage for our $2M obligations for the D&L1 cleanup.
5. Announcing an estimated spud date for D&L3 rather than just 'early 2011'.
Any others?
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