Rough cashflows. Hedging should be down to 66K for the start of 25FY even incl the 3.5K oz pushed out from current Q.
I understand there will be further hedging down the track but that should be at current spot price so should work out about same.
And looking at NPV of those cashflows like a financier would be and @ 12% discount rate - 341M over 6years.
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