Different scenariosHi all, first off congrats to all us longs. As the stock currently is derisked, I am trying to predict different scenarios that could unfold in the coming days. I'd like to add more share to my core holding of 40K under $1.25. I was playing a lot of biotech stocks in my stupid past and I know for sure that most of them were sold off right after any important news came out. So I am hoping that MM's will bring SP down right after opening on Monday to get cheap shares.
Also, I think that Dev is not so stupid to sell Co cheap as this is not his last company he intends to develops and sell. The price should reflect best $$ per pound in addition to gold and undeveloped resources and higher uranium SP.
IMO, it will take longer than someone thinks to sell it, but I hope that it won't be sold less than 100% premium to its 52 week high. I intend to hold my core position until the very end but, also I am planning to play with shares I will be buying on Monday.
Everyone opinion is very welcomed.:-)