Do ADX holders think the SP price is due to upcoming SD test and the massive potential (I'm a VIL holder) or is it because of Italy and Romania potential? and possible Shell link up (surrounding the Kerkouane permit)??
If you were to put a % potential on SD vs rest how would you rate it i.e 70% SD 30% rest of assets - just as an example.
Interested in how holders see the potential. I'm thinking about buying into ADX (maybe reduce VIL, although I've only just increased as I believe leverage to SD upside in percentage terms is higher in VIL than ADX) so its really a question of the value and potential short term of the other assets??
Cheers all ADX shorts and longs!
Maddoc
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