Acuity is not an investment firm. They wouldn't want to take chances with an exploration company with millions of dollars. They have 5% of the company and they should know that is a significant holding. Anything more only increases their exposure and why would they want to do that when their core business in finance?
I'm no fortune teller and I'm certain not saying they will definitely dump their 40m shares but if they choose to do so, the SP volatility purely depends on the volume of shares being traded. From past performance, I expect them to dump their shares on the market sometime this week.
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