I still believe we will do well in the long term.
I've exited 2/3 of my holding because short term momentum is too hard to ignore.
We pretty much have confirmation that there won't be any share price trigger on the upside in the next 3 weeks as the RC will drill the pre-collars and the DD is drilling 6 metallurgical holes before going back to Investigators and West End.
Too much short term downside potential and low upside. I am happy to buy back at a small loss from my selling a 9c if I end up being wrong.
Anyway, I kept one third of my holding just in case, not to have any regrets if it bounces really hard.
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