Anyone want to have a crack at the cashflow forecast?
In very simple terms:
Cash as @ 30/9 was +33.1m
Add profit from hedge closed out +6.3m
Add Dec Qtr production @say $1,600 oz x 9,240oz = +14.78m
Less Dec qtr est outflows -40m
Should leave them with around $14m at the end of Dec.
Happy to be corrected!
Cheers,
Barry
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