"NO, IDC DO NOT need to raise cash NOW, they have 10m in the bank"
So, Cash in the bank at end of March was $3.5m, with an expected cash outflow projected for this current Qtr of $4.9 m - a deficit of $1.4 m
I guess we all now know who did their maths and who didn't!
"The IDC Board is actively reviewing a range of financing alternatives
to support the next phase of drilling and other work at the Mt Kare
project."
In the current "climate" that's going to be hard, IMO.
"NO, IDC DO NOT need to raise cash NOW, they have 10m in the...
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