I conservatively value it right now at 200 million.
It could be debt free within 3 months.
Massive turnaround storey unfolding.
Very liquid stock.
This could easily be in the teens tomorrow.
Most of the recent placement holders that were intending to sell would of today.
This could have another leg up tomorrow to 12-13c.
If it has another good month in march, it could run to 20c.
That's 150% rise in the heads
and 400% in the options in only a few short weeks.
If gold has a bit of a run at the same time, it could go higher.
HUGE UPSIDE.