I bought into SEG a couple of years ago at 1.4, SIR was in the mix at that stage but SEG was chosen because of the potential of the big green blob, I still have faith in the potential but to realise the potential a resource needs to be managed well. Averaged down to 0.009 a while ago on sniff (positive) but overs the years management have demonstrated that they are more interested in realising salaries and performance rights. I am not negative toward SEG but extremely disappointed with management as most long term and I'm sure most newbies are expressing. 'Not helpful to anyone', if people had of taken notice at 0.003 - 0.004 regarding concerns raised about management they would not be faced with a 0.001 SP with consolidation that most likely followed by a credit raising. Why not get out - the bit that is left I put down to educational expenses (haha) and my glass half full approach is bullish on nickel (medium term) and would like to see some further analysis of the big green blob
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