Pretty much every stock you mentioned there are struggling more than others because they have terrible project metrics and/or have missed targets at every turn, that’s why they are much further from 52 week high than PLS is. If you can’t perform in the good times your screwed in the down times.
High. Now.
CLQ. 169. 39
AUZ. 14.7. 3.9
COB. 167. 19.5
ARL. 194.5. 55
AJM. 50.5. 15.5
I believe none of those companies will ever reach those highs again.
Compared to PLS and other battery plays;
PLS. 125. 67
GXY. 454. 239
Ore. 744. 363
Min. 2200. 1480
Taw/a40. 58. 28. Adjusted 10% to today’s price.
NZC. 48.5. 27
To get back to current highs
CLQ X4
AUZ x3.8
CoB X8.5
ARL X4
AJM X3.25
Pls x2
Gxy x2
Ore x2
Min x0.5
A40 x2
NZC x1.8
All these companies have been more resilient because they have better projects with better metrics and better management.
Sorry I have excluded KDR.
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