imagine
1. 2022 pay off debt. 2. 2033 buy back 10% shares. 3. 2023..double all approved production levels. 4. shotgun start major J.P. with Major already in place. 5. no debt, maybe div, massive oil increases, and opd og 100,000 plus......and maybe buying up small fish like ite or many others......then what will share price be 2015......only 36 months from now....THOUGHTS????