None taken. Just as I always have considered you a valuable and knowledgeable poster, this harping on simply got to me. Sorry about this. FAR always has been and officially still is a specie. I think the risk has been substantially minimised but the market behaviour towards it has not. But then again we invest here because we are prepared to gamble. You fear is quite justified, but let's look at the 3 positives. PE, FID and the next drill in the Gambia being an extension of SNE. My judgement is that success in anyone of them can have a great positive impact on the SP. I also think that our major SHs are looking at these dates before getting too tired of their investment. Don't think at this stage they would want a T/O. And they rule the roost.
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*FAR Price Target Cut 40% to A$0.06/Share by Morgan Stanley, page-104
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49.5¢ |
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Open | High | Low | Value | Volume |
50.5¢ | 50.5¢ | 49.5¢ | $26.98K | 54.03K |
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No. | Vol. | Price($) |
---|---|---|
1 | 20223 | 49.5¢ |
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Price($) | Vol. | No. |
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No. | Vol. | Price($) |
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1 | 20223 | 0.495 |
1 | 2000 | 0.485 |
2 | 28930 | 0.480 |
2 | 70000 | 0.475 |
2 | 78150 | 0.470 |
Price($) | Vol. | No. |
---|---|---|
0.505 | 611 | 1 |
0.510 | 59999 | 2 |
0.525 | 69690 | 1 |
0.530 | 30000 | 1 |
0.535 | 30000 | 1 |
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