So where are we going to go from here.
Pretty new to all this so the following could be complete rubbish but bare with me:
Current value = $229.44M / $1.6 = 143.4M shares
Credit Raising = $148.8M / $1.2 = 124M shares
After credit raising at current price
Total Value = $378.24M / 267.4M shares = $1.41 / share
Over the next few days some new players will try and get in on this and get the benefit of the credit raising option.
Say price increases to $2.00 and you buy 10000 shares and then capitalise on the credit raising
$2.00 x 10000 = $20,000
10000 / 1.25 = 8000 x $1.2 = $9,600
Total outlay = $29,600 for 18000 shares = $1.64 / share
Assuming price will drop after Wednesday again back down to about say $1.69 (1.41 + 20%) $1.64 / share still looks like a good price. 20% is just a pure guess, perhaps it's be higher or lower.
For those currently holding based on the above scenario.
Say 10,000 shares increase to value of $20,000 and you don't take up the option, you end up back at $1.64 / share. Would feel a bit like being left behind even after all the good news
Take up the option and you end up with
10000 x $1.64 = $16,400
8000 x $1.2 = $9,600
Equals average share price of $1.44 / share
14% better off than not taking the option
After all that dribble I thinking we'll see $2 plus this coming few days and then a drop over the medium term once the credit rating is complete
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Open | High | Low | Value | Volume |
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3 | 1150000 | 0.006 |
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1 | 500000 | 0.004 |
1 | 500000 | 0.003 |
Price($) | Vol. | No. |
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