I wonder is the sp responding to the management changes rather than the review. Strong bump up today of 5%. I was thinking that maybe the best way to play it would be to realise some profit on say 80% of your holding and leaving the balance to see what happens after or during the buyout.
As an aside when looking at their guidance figures for Q1 2012 of about 40,000 ounces, I noticed last years guidance for approx 200,000 for the year 2011. Any one know did they hit that target. I can't seem to find any figures on the net.
Thanks
bbay