RE: SML is rapidly growing cash27 Mar 2025 11:21
Group cash balance of US$620,000 vs US$100,000 one year earlier. So increased cash by $520,000 in one year (with no placings, just operating cashflow). If they had not cleared liabilities also of $490,000 the cash growth would have been over $1,000,000.
Big year coming here and a re-rate for the shares