i used to hold AUZ and was burnt with the SKI debacle and this feels the same. the company appears to chop-change its strategy at will which i'm sure doesn't make investors confident. regardless its a positive step forward and hopefully they can get some financing interest. though its not clear from the studies how the economics look for AUZ since BFS was for sulphate product, they had signalled to market they were looking into PCAM, now they're suddenly selling MHP. together with QPM perhaps LGES have a north QLD strategy going on here..
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i used to hold AUZ and was burnt with the SKI debacle and this...
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