Happy new year all. Sitting here on a beach somewhere in Asia and pleased with the changes to management, acquisitions and share price. Things look good. We don’t want to ever see that debt bogie again. Focusing instead on advancing our production ambitions.
Anyone know or care to guess what hzn’s hedging strategy would/should be? We will see hedging loses this year due to poo up tick. With increased production when would be a good time to lock in those profits? I am very interested in the variables that should be considered.
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Happy new year all. Sitting here on a beach somewhere in Asia...
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Mkt cap ! $283.2M |
Open | High | Low | Value | Volume |
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Buyers (Bids)
No. | Vol. | Price($) |
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7 | 274779 | 17.5¢ |
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Price($) | Vol. | No. |
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7 | 274779 | 0.175 |
31 | 1655677 | 0.170 |
30 | 935530 | 0.165 |
22 | 2054313 | 0.160 |
12 | 1021846 | 0.155 |
Price($) | Vol. | No. |
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0.180 | 878685 | 24 |
0.185 | 1748521 | 30 |
0.190 | 392126 | 13 |
0.200 | 249120 | 5 |
0.220 | 45000 | 1 |
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