There are many big players in North America so it could be one of a dozen they could woo possibly as the US market is about to explode some aussie assets might fit well in their portfolio.
You make a good point and as positive as I try to be I just cant make the numbers work for them to trade out of this, so taking on a major 33-51% USA/CA industry investor/partner is probably one of the only moves to reduce debt quickly to a more manageable level moving forward possibly.
The quarterly and financials should be interesting. It would just be a shame to see it go belly up...
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