Symbol is a keeper. The first shipment could be a week or so either side of the date (normal) but that is irrelevant when we are so close to cash flow. I think that once the market sees this unfolding, the stock should move back towards the 4c mark on some decent volume. The company has another 30 odd targets and more resource in the second target already. These guys will add resource as they go, so i dont expect them to end up with 10 years of resource unless they find the mother load. They could stab a hole in each target and then go cherry picking from there.