KGL has a definitive feasibility study showing a NPV of $3 just for Andash. The potential was always there despite the current sp.
The sp is near 60c thanks to another delay, gold sector weakness and more political risk arising out of the Centerra issue. Not too many could have foreseen that series of events.
Very disappointing, but at the end of the day the sp only declined in line with many producers and by less than many individual gold stocks showing it was never overvalued relative to other gold stocks. It still has strong upside potential from multiple assets despite the current weakness.
ABU does not have that political risk which is what has plagued KGL.
On what fundamental analysis or technicals do you base your LT sell sentiment for ABU?
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