Some updated cashflows for 1/7/24 onwards, based on latest restructure and RRS presentation (I'm going off the graphs). I have used futures prices for sales at spot and included the nullagine potential oxide ore in FY25&26, so its not conservative. I have not factored in additonal feed for the later yrs when the plant has significant excess capacity.
Do you own adjustments to this up or down and then compare that to MC or EV
PS: Futures prices were from RRS preso 4/4, they would have gone up further since then given the run
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