So how do you categorize the "risk/reward" of Spider Resources (SPQ)?
High/High? High/Low? Low/High? Low/Low?
What factors did you consider in making in your choice?
Has the "risk/reward" changed since early 2006 before the first chromitite strike?
Has the "risk/reward" changed with the latest drill results?
Does your perception of SPQ "risk/reward" change due to the fact that SPQ is part of a much larger area play?
Does the penny play share price of SPQ affect your perception of "risk/reward"?
Just some questions for you to consider.
Snug