Managing expectations
The recent spike to 0.37 was a nice harbouring of good news. This said sp movements have been somewhat unpredictable over the past weeks. So I'm being cautiously optimistic and aiming for a 0.40 by end-Apr Q4. If higher, so much the better, but I prefer managing expectations at this point. I think Q1 rsultats will be THE real gamechanger - unless a well written bullish NR is released beforehand, which could significantly change the dynamics - MDA contract etc etc wtc.