I think more anger than panic (but Monday may see panic). I think the anger culminates from being strung along with the same chorus of NE sale/refinancing for the last 12 months / poor communication with SH and the catalyst was the clandestine release of the annual with auditor tone regarding going concern and CR and the secret bonus payments. Add to this our expert negotiator/CEO organising a pissup at sh expense and leaving us shareholders hanging over the long weekend speculating wtf will happen to he SP/ company come Monday!
Poor form and I would expect/demand a statement prior to open about financing to calm nerves.
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