Hi Mike,
Last Qtr report says that product sales were:-
$8.057 mil
Costs were $6.736 mil
and net cashflow was $2.321 mil
Now lets us assume that Jan - Mar qtr costs are similar to
Oct-Dec costs and that production for Jan-Mar per month is similar to month Dec 2010 then we would have :
Product sales $13.6 mil (@ av of $1350/oz)
& Costs $6.736 mil
giving net cashflow of $6.864 mil
This would be an uplift of $4.543 mil on previous qtr.
Now suppose this hasn't been already factored into the sp then it could mean:
$4.543 mil X 4 =$18.172 for full year
Devide by no of shares (359 mil) = 5 cents/sh
x10 P/E = 50 cents sp uplift.
Maybe I'm dreaming?
I know that the sums are crude and dont account for other
costs not included in Oct-Dec Qtr.
Anyone care to comment?
Moorookamick
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