After looking at the fundamentals of the two companies, I am having a hard time trying to figure out how they came to the share arrangement. I think it was 3 sgr for each kerr. SGR has assetts that are far more valuable than those held by kerr. Are the bond holders pushing for this. Seems to me SGR earnings are going to be used to finance developement of copperstone. can anyone explain how a kerr share is worth more than a sgr share.