What do people think are the likely effects of a move on STO after 1 September .... which is widely expected? The way STO raved about ESG and the GB you would expect that any predator would be eyeing off ESG as well .... or would a major be happy to sit at 35% of the project? I doubt it .. so a move on ESG at the same time or soon after is a possibility.
Any thoughts?
H