One of the reasons that I imagine their current program is designed the way it is...is simply that there is no doubt about the viability of the resource but the upside potential is so large they have to plot a path that the ASX will allow them to communicate what is really there. (bad grammar but u get the drift)
I am comfortable that they know what they are doing, have the inherent resource and that I don't need to sweat every pip on the market.
When a few others I hold kick goals I WILL be rotating more capital into MYL. I don't know whether it will be next week, quarter etc but I have no doubt it will happen. In the meantime, the reasonable chunk I have is in the bottom draw