Always the most frustrating part of holding is the inevitable regulatory and contractual delays when moving into production. I too am frustrated at the lack of exploration but at least we should be able to make it to Q3/4 with remaining funds prior to the next CR. Several deliverables between now and then that should add value and reduce dilution. Macro is still looking primed for us to do well. Not looking to add until I see some progress but will add if we get back below $0.017 again. Until then I'm a happy holder. UK should hopefully move a bit faster now that all the Covid restrictions are easing...
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Always the most frustrating part of holding is the inevitable...
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