Yeah hope so ....have also bit the bullet on PGI and sold my lot for a loss ...still bullish but more so 2nd half of the year and will get back in during the 2Q14(hopefully still in the 4's) well known they will turnover round 11-12mill for the 1Q14 but should be adding quite a few mill for the last couple Qtrs
Instead see better returns in the short term with CFE @13c(target 15c-18c before mid year) , ROC @46c (55c-65c) so shifted the funds into these two,,, just about brought more SOC but would have really unbalanced the portfolio ....also likely I will be involved with the CVR CR likely FEB (hoping to shift some profits there)