Agree with the debt reduction. Let's get glencore out of the equation then progress the copper. If the copper is as large as csa........happy days. But with the past history of problems of nearly collapsing the company......I have held since ytc and do not wish to return to nearly losing the lot. We are back in the black and would like to stay there, looking forward to some decent returns long term. The only advantage I see of the scoping study is to lift the SP to a point that makes a takeover expensive. What if the scoping study is a bust, and reveals nothing of value?
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