My personal opinion is that a few pretty serious questions relating to,
1. Suspicious trading, and
2. Who made some of the drilling decisions that resulted in a huge waste of shareholder funds,
need to be asked - answered - investigated.
I'm pretty sure that things aren't just 'lucky timing' (the selling) and 'bad luck' (the drilling).
Know a lawyer who would take this on?
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Ann: Outcome of Creditors Meeting, page-10
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