Fundamentals? Sometimes one has to ask one selves a few questions and find the answer before investing in a stock.
Was anything except the company cash position and IR better with this company 2 years ago when the share price was several hundred % higher.
Were the general mining operations better 2 years ago.
Was the CF better?
Was the recoveries better?
Was the price of silver and gold higher?
Were they closer to 300 tpd?
Are the management team thief’s planning a placement at current depressed share price or lower, to take an even larger chunk for themselves?