Cash $80m and ZERO debt;
Cash $20m increase in one Q despite ...$8m.... Let's give it a 50% discount and make it $50m FCF for a year.
How much it worth for a company that has the above metrics? The $200m MC is a joke now. I expect a 2c dividend at least following the next report. Otherwise the board have to give a length explanation what to do with over $100m cash.
I am not looking for 50c SP; I am looking for $1 SP with an 147koz p/a production rate
SLR Price at posting:
43.0¢ Sentiment: Buy Disclosure: Held