Now, if only SH had listened to my advice for a vote of no confidence for Remuneration report last year, then this year would be a 2nd strike and out. And with that hanging over the Board then maybe we would have got some answers and a better approach to SH by Board by now. Currently, they still have another year in which to play by themselves with no accountability. Glad I sold out (a lot) at 0.135 months ago. Realised significant capital losses, but at least now invested elsewhere. Shame I didn’t do a Steve and sell in the low 20s.
Quarterly report reads all waffle and innuendo and implication stuff. Minimal hard facts imo. More bs.
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