Yes well. Maybe. they met last week to tidy up things on filing with SEC. When they do that they have to indicate a likely price or at least the basis for that price. I'm assuming that means some calculation based on the Aussie share price and or the OTC raw price or its relationship to the Aussie price, as well as the value potential through U.S. Investors. I think we've all been softened up for a ratio. So maybe he's hoping that the Aussie market gets off its chuff and the ratio doesn't sound so bad. Even if it doesn't really mean so very much. What's the consequence of volatility when you have fewer shares at a higher dollar value?
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