It just doesn't add up.
How is it others (eg PLL) are moving forward with no news (despite the current Macro climate), and we're stalling with the release of positive news? ASX300 inclusion, Doubling of Resources, and with further good news expected in the next 2-3 weeks! If there's something negative that retail weren't aware of, you'd expect to see our SP slowly falling back, but it's not.
You'd have to assume we're being primed for a significant re-rate in the very near future, as I can't explain it any other way.
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Price($) | Vol. | No. |
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23 | 9947851 | 0.034 |
25 | 6717590 | 0.033 |
23 | 6108611 | 0.032 |
23 | 8437553 | 0.031 |
Price($) | Vol. | No. |
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0.037 | 13825023 | 51 |
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