seems chances may be that yet again the main game is farther ahead of the advertised plan.
tailings should have died years ago but it didn't.
all the while the main equity game is closer (subject to dilution yet again).
whats to say the stockpiles perform any better than tails ?
the aim is to get to hard rock and like it or not, the sockpuppet forum will need to reprise at least once more AFTER the waste stockpiles fail.
Does anyone really believe this has not been quantified already ?
positive retailers are simply pawns for the main game at an as yet undisclosed equity cost.
smart players have zero entry cost and may dilute to a good position, but not without the pounds of flesh from the gullible.
there is no bounds to the gullibility of the impressionable ordinary man and the weighted equity (allocated to ACTUAL assets) is counting on it.
pls show us how that ain't so.
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