It is the close that counts!
The question the Manipulator(s) have to ask and I expect have asked of itself is: How much powder am I (are we) willing to blow to hang onto some cash (so as to squeeze every last Nickel out if earned interest) by resetting the clock on the Warrents I manipulated my (our) way into?
Tgarf posted a reasoned account of the basic rational for conducting subterfuge in 'stressed corporate situations'. Qoestion here realy is: In this case, Who is the "Stressed" party?
Some may liken the current situation to that of a "Mexican Stand Off"!
I, based on several prespectives I have been exploring with some others do NOT see that situation at all. The way I see it is that it resembles more of a "Cause" at foot. The manipulator(s) on one side VS us little investor types, Noront Resources friends and care takers, and the Manipulator(s) sworn ENEMIES! Add to this the fact the SP is greatly undervalued by all modes of calculation and many interested (small pocketed and very big pocketed) individuals hoping to get more of the bargain while it lasts and their worry that they can NOT afford to waite and hope for a better price.
Can the Manipulator(s) conduct Risk/Reward and Cost/Benefit calculations under a single simple set of KNOWNS?
WHAT WILL IT BE MANIPULATOR BOY(s)?
IT IS YOURS TO CALL!
Old Joe
PS: For those who may be interested in the background respecting the UC/SPQ/KWG Joint Venture situation you may like to visit the UC discussion Forum after the end of trading today.