I've been thinking about this a bit lately. With the release of results shortly, I wondered if ones commercial advantage will start to reduce. I know there's appraisals and more exploration to be done...but the reslease of the results will be perhaps the biggest revlation- towards commercialisation and a larger oil provenience. I guess I'm intrigued as to whether they will have a crack in the next few weeks? After all the motto has been to "acquire in the early stage". The risk of over paying for 10% would be offset by % already held ?
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1 | 100000 | 0.475 |
1 | 100000 | 0.470 |
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