The thing i have been thinking about recently is the company debt load. Now lets say its on the higher side of the spectrum and is over 60-70million.
I think that after operating costs and a favorable ltf financing deal the debt will not be such a big issue. with the expansion of cementation and sx/ plant I think that we could be debt free in 1-2 years. Then the company would just have to cover operating costs.
Like ive always said. hold for 3-5 years for max profits. I know a lot of people will bail out when it hits .05 or so, but im here for the long haul. when we form a new base at .03-.05 i will continue to buy.