more capital raises with attaching cheaper options and more dilution coming imo
every dud listed last 18 months announced lithium acquisition and some seen their sp rocked for few weeks then seen their sp crashing down and these were with good tenements nearology to existing lithium mines, couple of them with over 7 billion shares on issue
and the ones announcing ordinary lithium acquisition didn’t fair well at all and their holders on hc asking for bod spill now
so mct management wasted 3 years and over $5 million to move away from its core business?
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