Couple of things concern me, now versus GFC circa 2008 - 2010 - went through ASX announcements after the anon to try and see how Mincor traversed GFC 08-10
Cash position was a lot stronger 100 m versus 25 m?
Was in a much more bullish exploratory phase?
David Moore was in the top helm position.
Nickel has been slowly depreciating & stockpiles are very high.
If anyone has a 10 year ni chart they can post would appreciate.
cheers
ps. to their credit this was always on the agenda.