Is there any risk in Argentina going down the same path as Chile? I see a lot of speculation on Twitter to suggest it might but I believe it to be all speculation just because it is another South American country.
Does anyone know if Argentina has implemented something similar in the past with commodities?
It’s clear GLNs biggest risk is Argentina itself but why? Inflation, labour shortage, politics.
Hopefully Chiles nationalisation turns into a positive for Argentinian lithium assets and not a negative.
Money/funding is hard to come by at the moment let’s hope Argentina or Galan does not fall into the “too hard” basket when it comes to investment.
I eagerly await DFS. Some have mentioned it already but I don’t see the increase in share price happening as dramatically as we expect. We may need to get closer to production before any real value is gained by which time I hope we have not over diluted.
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