Curious - will management accommodate our BEOT accumulator and go early in a discounted premium in large equity raise? Past 12 months missed timelines and trading could be a guide - the ann's and gaps and that 12 month short chart speaks volumes - very different to other targeted shorting of critical minerals stocks short charts.
Will management deliver the debt financing closure - off take closure - pending big ann's to allow SP some freedom and fair value to then raise equity?
If only senior management were rewarded by SP milestones (as does occur) opposed to project delivery milestones to supplement their salaries.
8 trading days until reporting due. Of course only 2 months after the end of June. Missed the March debt closure - will we miss the June FID advised and incorporated into the gas supply agreement - which can always be altered. Just some thoughts while we patiently wait.
NO probs long term - we'll get ours soon when they've finished getting theirs.
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30 | 999802 | 0.170 |
24 | 764453 | 0.165 |
49 | 1893820 | 0.160 |
21 | 972774 | 0.155 |
Price($) | Vol. | No. |
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