what is different this time?Mostly orv share price tanks, if negative news were released. This time is very different. We have no macro market crash. And recently good news (guidance 2018, production FY 2017) were out. All negative facts (i.e. management fees and no management share holdings only option games, high opex and capex, dark past with glamour, low reserves) are well known. Who knows more and have sold? Gandolph, what will happen, if we have very good Q IV FY 17 financial results like you propose?