My personal guess is the company has no shortage of both finance and OT offers. They are wisely taking their time and diligently choosing and negotiating the best deal and path for the company and SH’s. They know they hold a Tier 1 strategic asset with strong metrics proven by a detailed DFS and will make huge returns for decades to come. This next strategic relationship that secures finance is the most important it will make. Best to take the time and get it right. My personal belief is it will be a great outcome for holders. AIMHO.
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