Increased production in 2009 expected to hit 1.1M, NPAT of 109M, NO DEBT, 2.8B shares on issue, MCAP of 7.8B and a 52wk high of $4.39.
Can anyone fill me in on what caused the SP to drop sharply in November & December 08? As I recall, POG dropped to around 700US. Was that the underlying factor?
The All Ords has moved sideways since the sharp November drop but POG has continued to rise (gold coy's along with it).
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