Hi hear your frustration Pat but our shareholders are heavily retail base. We have no 43-101 to sustain our value. However, we have great properties, very effective management, early results that our very encouraging, have infrastructure nearby, are in Gold which retracted today but is still extremely high at over $1500. Drilling results are probably about 4 weeks away and that is when I expect our share price to start moving. Before that nothing really matters. Accumulate under 14 is still the best strategy IMO.
If we follow up our first great drill results with another good round of results, then I expect Robin will start shopping our story to more institutions and we will get to see a valuation that resembles our true valuation at that time.
Glorieux