RE: RE: RE: RIKER oil up OPC DOWNMy theory on why Opti's sp is lower compared to others is, due to its obligations to fund future phases on top of existing debt, which results in a limited lifespan of up trend (or a cap if you will). In other words, it is too obvious the sp will be diluted big time (one way or the other) when the time comes (it is a time bomb). And because of the future phase funding obligations, the reserves/resources of future phases can hardly be weighed into current sp, IMO . Still, I am considering getting back in. Why? There is still enough time left for up trend, or another type of bombing possibility (takeover). Anyone who is truely long (a few years from now), slap me with reasons.