Can someone explain to me why as a producer now that the SP is still in the toilet? Presumably at some point they get a positive PE ratio, no? Or are they producing at a loss? I also noticed there is no local contact for shareholders anymore, or am I missing something. I got out ages ago and am looking to get back in, but I'm not sure ... management have been less than useless in communicating their message and I always thought a South African coal miner with an office in London listed on the ASX was dodge city. Can anyone enlighten me?
UNV Price at posting:
9.9¢ Sentiment: None Disclosure: Not Held