I am a keen ago ER however who would Jv in a company where currently its main price indicator io is travelling north and it's sp is travelling south.
FMG almost a 1$ in a week up and will most probably crack $7 today
Ago debt holders makes no sence them pushing price south on back of io positive pricing.
I just want to hear what it is.
What ever it is it's wasting sp increase time. We missed a great week of io increases.