if you read the last years worth of this thread you will see i am not a trader. i look longer term.
i did top slice at 140p ish but i added massively when the sp was tanking last summer.
i have been waiting for the outcome of this increase in stake to buy a few back in for the longer term deal now.
take a look at bill kellehers cv and and the geology and the gazprom volumes for the pipeline, then tell me this is a bad investment at these levels.
also are you aware of the strength of the presentation that vog did to the funds. well i am told quite conclusively that the picture was very well painted.