Yeah the options deal will only be judged as a success (for retail) if the SP bounces back and I'm not talking about 2.5c.
If the operational wins that were gained by the timing of options and CR equal a major gain for Shareholders then it was successful. If the SP is 3c only after HBP then for me it wasn't. This as David specifically said was about short term pain for long term gain.
Unfortunately the only people who have experienced that short term pain are retail holders. Hopefully the long term gain is worth it although there seems a lowering of expectations of SP.
Not sure 3c at the end of HBP is considered close to being a good result but that's just me
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