Nothing wrong with that report and we lose nearly 6%? Was it the increase in production costs? I don't really understand why it would react the way it has if you consider these points
-23.2% increase in EBITDA
-October of to an extremley strong start
-double production from Q3 next year
-execute first limonite sales contract with potential long term contracts
-secured highly prospective Siduarsi nickle-cobalt in West Papua
-Nickel Matte production from this QTR
I will buy more shares around $1.00 and anything below I just suck up like a vacuum cleaner/
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