whilst we whiling away our time (im not i should be writing) heres some fundametal factsI looked at.
I had a look at the performance of most other notable cobalts since their highs earlier this year at top of coblat price here what I saw. They all declined as follows.
Big Blue chips or producers
Glencore - down26%
china Moly-down 59%
katanga-down 69%
Sherrit-down 63%
other notable speciality co Stcocks in America Canada.(old juniors)
Cobalt 27- down 64%
E-coblat -down 70%
Other ASX cobalts -by order of falls from highs
AML-down 25%
HAV- down 26%
NZC down 30%
CLA down 60%
________________IMO I belive the above are the best stocks and the only one who may get to mining - of all CLA is best IMO -so we are seriously underperforming.- but should be about the same when our ss is out as we are still behinsd them in development terms.
Others- "old juniors" who IMO may? get financed to mining
JRV- down 62%
CLQ-down 67%
AUZ-down 80%
N27-down 84%
COB-down 86%
----------------------------IMO cla is outperforming most of these guys
No hopers
EUC- down 84%
BMT-down84%
The average fall of all the above cobalt stocks since April Co highs is = 61%
- so CLA is just above average,
The average fall of all the ASX listed cobalts above are 62%
-so CLA is just above average
The average fall of the only ASX companies who IMO look like they may get to mining is 35%
-So CLA is seriously underperforming them. IMO there are two reasons for this:
1. Most importantly CLA SS is not out yet so she carries much more market risk.-this gap should in theory be made up if the SS is solid - therefore (a similar average 35% decline from our od 24.5 cents high would put CLA at 17.5 cents.
2. Less importantly IMO Insufficient global marketing - which hopefully will be rectificed post SS.
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