What are your concerns in specifics and logic behind them? I have a large chunk invested in efe and at the spec end it’s extremely risky. However, rattling my brain on the negatives I can’t think of any other reason but positives as to the phase 2 drilling before assay results. I’m a realist and love to hear both sides of the coin. Interested in anyone that may see it as a negative to share their thoughts. As it wasn’t price sensitive it may not have popped up on everyone’s radar. Also runs don’t usually happy straight away. The big wigs try to accumulate as much as possible and keep it down for as long as possible before they let that happen. Time will tell I guess.
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