Indeed Sterlo we are all hoping for a much higher premium to sp and equity raise. Yet as always the insto's - BEOT have the upper hand for these situations.
I have a problem in why management are not calling TH's on the previous significant two announcements. Surely in doing so - builds high anticipation - attracts crowds on that anticipation which can then subsequently see a sp increase on the significant event in de risking Nolan's development.
Yet in any case - the shorts as per the Canadian finance announcement screwed the sp down anyway as they clearly knew they had time - unlike myself and possibly others whom were hopeful that ann would be backed up soon after with say this Kexim ann to maintain the sp momentum.
Anyway I think many here can see where I am going with this - management/insto's. It's why I observe the short position daily - any sign as last figures on Stockman could be the start of unwinding substantially.
They run the show - we retail are just tiny passengers and anyone thinking retail can control the sp is bonkers - so we wait for them to reverse their play.
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