The best case, auction done great, high price, high amount, the company want to make extra money to current FY to take the advantage of the current market, this will easily push the SP to 30+
The worst case, not so great, price and amount both dropped, let's say back to previous normal years, the company still have some storage and want to enhance the current SP performance, I think this will be highly unlikely but it may bring the SP back to under 10 cents.
So which case is more possible?
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