SB
G's, got a good point in his post. BMM could sell their whole holding in one hit, to say IGO.
AF has been selling down crunching the POS SP along the way.
BMM just want a future tolling deal at LJ (part of potential deal).
IGO has done a strange secret deal with AF promising part of the proposed refinery. Owning part of the refinery makes AF look good as far as his Green credentials (egotistical pr1ck).
What if IGO has its sites on POS and secures all nickel concentrate not contracted to BHP?
What does PH really know and why is he progressing so cautiously?
Why did he over raise in the last CR at 11c?
What does Padley really know?
RED
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