Tough question TBH....
What are the value of each of GPPs projects? We saw following the last OHD announcement the SP getting smashed down, giving the impression the entire MC could be OHD related!
If Li results are poor, I honestly see a similar result on the SP, indicating the MC is for the Morabisi project only...
Again with the NT project.
There is too much crossover IMO.
I suspect if GPP only had OHD/CTL the MC would be where it is now.
If the company was focused on exploration only the MC would probably be the same!
I'd like to see an IPO or RTO of a shell and see the 2 separated in due course then SH can accurately gauge the true value of the companies....
Let's hope that all project yield great results and the scenario seen at RMX doesn't materialise here.
That said, if one project does halt, there is a back up plan and reliance would be on the other 2 projects...
If they all fail then..... bugger I guess!
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