The commodity cycle turned. The company's shares turned to a long position. The company's performance improves, production increases, profit increases. However, the company still cheap!
Enterprise Value/EBITDA 4.7 Debt/EBITDA 1
Buy $4, objective $25. That is 625% of the profits.
I've confirmed to my forecast, my purchase. I bought shares and I will keep them to $25 minimum. This is a long term position for several years. Maybe the price will drop to 3, 2 dollars, this is a good chance buy your way back and earn 1000%
The cancellation scenario is not! No stops! Minimum goal of $25!
p.s. Stock - is not a line in the terminal, but a share in a real company! There will always be people who will want this share to increase!