Sprogman..tend to agree with your sentiments, I sold two parcels from my SMSF (both were originally bought in the low $2.00) needed to crystalise the loss for tax purposes.
Looking forward min 15koz for June Qtr and 24koz for Sept Qtr. Hence June is critical.
My call would be if the DFS for kalahari is release prior to June Qtr results, then I would be tempted to load up.
DFS first then followed by a strong (back on track) result in the June Qtr will really launch the SP.
Only dilemma i have is determining what are the possible lows to back back those two parcels. Any chartists got a view?
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