I have been trying to digest the amount of detail you have posted but looks like an overnight job in preparation for tomorrow. FS what is your best call as to why the market seems slow on take up of bonus shares and options? My guess is that there is little understanding of the potential of this junior considering recent announcements but having said that I would expect Tuesday to be entirely different. As to your information it took me a while to even come to grips with the Ca FE, but the Ocean report helps heaps with that!
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