Possibly the execution of the options and selling into a shallow buy side. A 2.5c option has a tonne of cream in it relative to the existing SP. Today's red everywhere market probably doesn't help as buying appetite across the board likely drops slightly.
As previously mentioned I think the next leg up is only going to come from the PFS and the shoring up of progress towards delivery of resource, offtakes etc. If good then that will bring a deeper and broader buy side.
Core holes wont do it unfortunately. Although it is good that the comms are coming through more regularly now.
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2 | 3125000 | 0.004 |
1 | 1000000 | 0.003 |
Price($) | Vol. | No. |
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