What I an concerning is the past 6 months performance of GXY. SP from very low to new high 0.685 only takes three month, which make me have a presumption that SP will go up to 0.80 around three month. If consolidation happened, SP should from 2.125 to 4.00 so that I can get the same profit. And coz the consolidation SP might go south first, that is I worry about, that will take long time to achieve 4.00. Am I wrong about that?
Second Is less dividend for low holdings, is that right?
ASX: TAW 2018 Lithium Pricing - US $1,000/T, page-58
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