hi wazza, just a couple of points to reflect on;
: one aspect of history has changed, this company has been doing CRs/placements at higher prices rather than at lower prices as per past.
: more importantly this current CR/placement may be a strategic move that will strongly favour its NASDAQ listing. Remembering that the original 20 mill or so we currently have could be depleted to the extent of 2 quarters worth of cash burn.
On its listing the first ‘go to’ would be; how much cash reserves does this company have?
With you on the hope of no cheap options. Another first is Anteris being in the position of having 20 mill back up rather than the usual quarter to quarter angst of where the next lot of funding will be coming from.
There really should be no need for the usual ‘sweetener’ of cheap options this time around to entice these entities. Future funding should be raised at a significant higher levels IF all our expectations are more than reasonable ones.
Imo.
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