I find it very interesting to watch the argument over these two plays. Why not believe in both of them and play them. Al refuted Johns statement that he made good money on spq.
When not first hit last August, the only nearby play was spq and they had drill results imminent. During the first halt I loaded up on spq. (2.5 mill shares between .04 and .08) and unloaded them at +.20. All the return went into not and fnc and I have just unloaded fnc at 3.00+. That money is going back into spq as they will be drilling as of today. Whether they hit or not there will be a bump just on spec about rhe time they finish the first couple of holes. I hope to see another double and be able to move back into fnc about the time they start drilling. I like both of them and hate to see two posters that I respect arguing over which is the better.
Lets all prosper
K