Ok, I get it. SP is falling . It sucks.
But I hear the comparison issue a lot, and apart from the recent slow burn over the last week or so, has not been dissimilar to the rest of the PM market (as a whole). That includes the Blue Chips (Gold Chips?)
Yes there is the odd stellar performer, but they are like needles in a haystack,, and the exception,, they are not 'the norm'.
So yeah, we're all asking the same questions.. is it the slow DFS result (does late-ish equal bad? ..) not necessarily, but people hate late news - it is still 'third quarter', but they are trying some peoples patience.. Is it the cash situation? perhaps, but a great DFS would fix that and hopefully have the options (and hence conversions) in the money bring in a little more. Is it the volatility/manipulative circus ride of the POS keeping people away? perhaps. Is it the lack of news flow, in general? perhaps.
Spec mining juniors are just that,, speculative.. That's what makes the possible Reward/Risk ratio so attractive. (and not so!)
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