Hey jta, this is in relation to your sixth point.
Do you think that a worst case scenario, CR, is having a material effect on the current sp (apart from minimal revenue)?
I would like to think that this won't happen, if it was, imo, it would tend to negate everything the company is forecasting ..... i.e, upfront payments and more importantly significant revenue to be seen by the end of the year/early next year.
Is the company in a position that it can say there will be NO CR, would the market see this as postive, if so then perhaps the company should make the relevant announcement, would be seen (imo) as a postive affirmation on the company's medium term prospects
With P&G contributions to R &D, is cash burn a issue?
CR (speculation) would have to be for a ripper cause, one that comes to mind is the setting up/collaboration with another entity to begin the BG range .... probably left field and fanciful thinking!
Just my thoughts, however naive they may seem .... lol
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