it's my view that the chance of a positive surprise is significantly higher than a negative one from the "tone" of the report. that leads me to believe that what we are seeing now is an accumulation strategy, lots of small trades to keep the SP under downward pressure.
assays to come, update from the geo and a few targets founds that weren't expected to be found. if it wasn't for the ramp up last week the report we would have got would have had the information still to come (i.e. assays, true widths, update on what it all means) rather than the half baked report we got because the company had to get something out.
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