I'm open to counter opinions... Sohoisnotforsale, Malmanu... these are legitimate concerns. The reality it doesn't matter what we say in these forums - the ultimate truth is the current share price.
Let's be real with our situation. We've contracted customers of globally iconic branding - no benefit to share price. We've collected money off said customers - no benefit to share price. We've doubled output at our producing mine - no benefit to share price. We expect to have enough surplus, and we'll be selling it at top-of-the-market prices - no benefit to share price. We released the jewel in our crown, the SdV DFS - no benefit to share price. At each and every stage we all predicted a gap up in SP. And these are all genuine agents for significant share price gap ups.
Personally, i'm taking a technical gamble here. We're a tightly coiled spring, and we're in the textbook 'c' phase of an Elliot Wave cycle... i'm expecting this to be the final wave of selling, soon to exhaust itself, then we'll largely repeat th growth phase as we saw it in Q4, Q1, Q2.