Lol, no offense Montec but thats a pretty ridiculous question. The share price went from 1.60 to 0.20 simply because the results did not live up to expectations.
Management reported whatever they knew in the best possible light, but they can't predict the future, or know what is going to happen 3000ft below the earth's surface. The fact that they even got the assets to carry the SP to 1.60 should be congratulated, unlike a lot of stocks that sit in the doldrums for years and years.
Its not their fault the SP went from 1.60 to 0.2 - they didn't purposely screw up Plover did they? The blood lies on all those sellers' hands -those that built up massive expectations without realising that every junior oiler is a SPECULATIVE investment.
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