I think we pretty much all agree that there is potential in the projects. So lets park that aside.
Can one of those who think management is doing an ok, fantastic job or in between, please explain
in concise, simple and direct terms why is the SP so low, despite the project potentials and perhaps on the verge of potentially sky rocketing if we find the pegmatite? I know there is a chance we don't find anything worthy of mining BUT the question is; Why is the MARKET not prepared to take a bet on GPP and assumes more on the side of GPP is likely to fail to find Li.
Surely the MARKET does not know if we are going to find Li. So, I conclude the market cannot be thinking we are not going to "find" Li, and henceforth thinking GPP is either likely not able to either carry the project through (to end of exploration - as perhaps history has shown) or, not able to materialise/capitalist on the find.
PLEASE, I could be a hardcore downramper if you like me to be but this was a serious question as I am a shareholder and a long term holder with a reasonable parcel. My aim is not to downramp but to ensure long term success for GPP buy questioning why we have been failing. So, please No "low content" answers (as
@Cohan would say).