So how do you think the relationship is between Sweeney/Muckton and the malaysians? Any clues from the aGM? What are the chances that the underwriters are still very in avalon they just didn't have the balls to continue when the world seem to be falling over? Now that it may be turning are they going to want back in and at what price? What other strategies could they put in place to get them back on board but not at these historical lows? Or do we have to stomach the dilution to continue with aggressive drilling? any thoughts as this thread is dead
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