In the next 12 months the MC will be heavily diluted, to the tune of 30-40%.
Incoming money does not equate to the massive forthcoming exercise of options and the SH dilution. It’s very big in WBT circles. Who holds these options? Company doesn’t nor are required to report the Top 20 option holders. Retailers and SMSF imo.
Without progression that can be viewed as positive revenue, the dilution is going to be a massive impact on holdings.
Sure there are different opinions however without a significant play in the next 6 months, today’s SP looks very healthy indeed.
Todays SP less 30%? = my call for a long time $1.48 and possibly lower. Those options will hurt severely EV as well. Make what you want but beware CR, SP, Options create dilution short term. Can the company perform to counteract?
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4 | 10851 | 2.350 |
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