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      "Headline": "Atrium Research - CUU: Van Dyke 2026 Sampling Program Complete",
      "Synopsis": "What you need to know:\n•\tCopper Fox reported final results from the 2026 historical core sampling program at its Van Dyke ISCR Project. Of the 29 holes sampled, 21 returned TSCu intervals above the 0.025% cutoff used in the 2020 MRE. \n•\tThe results could influence an updated MRE that will feed into the revised PEA, with the preliminary 3D groundwater flow model now complete.\n•\tSince our last note, CUU also provided a PEA operational update (Apr 21) and reported its first Mineral Mountain drill result (Apr 7). \n•\tWe recently interviewed CEO Elmer Stewart; watch here. \n\nYesterday, Copper Fox Metals Inc. (CUU:TSXV, CPFXF:OTC) reported the final results from its 2026 historic diamond drill core sampling program at the 100%-owned Van Dyke ISCR Project in Arizona. Results were received for 18 additional drill holes, 15 of which returned intervals exceeding the 0.025% total soluble copper (TSCu) cutoff used in the 2020 MRE. Combined with the eleven holes reported on April 30th (see below), the program has now delivered results for all 29 holes, with 21 returning concentrations above the cutoff. Management indicated that the results could influence the updated MRE, which will feed into the revised PEA currently underway. We are maintaining our BUY rating and C$1.30/share target price on CUU.\n\nHighlights from today's release include:\n\n•\tDDH M-2 returned 0.543% TCu and 0.416% TSCu over 53.8m (272.19 to 325.98m), including 0.725% TCu and 0.592% TSCu over 34.6m.\n•\tDDH OXY-46 returned 0.273% TCu and 0.223% TSCu over 74.6m, including 0.518% TCu and 0.453% TSCu over 19.5m.\n•\tThe preliminary 3D groundwater flow model for the Bloody Tanks Wash drainage basin has been completed and is now in the calibration stage, advancing the Company's understanding of the project's hydrogeology.\n•\tWork on the updated PEA is progressing across resource estimation, cost modelling, engineering, geotechnical, water treatment, and hydrogeological studies.\n•\tQ1/26 groundwater monitoring (field water quality, water levels, analytical results, and VWP data) was consistent with prior quarters, with no seasonal patterns evident.",
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      "Headline": "Sidoti & Company - Expect 6%-12% Sales Growth And More Than 20% Annual EPS Growth Through 2027, As Products Gain Traction, Plasma Collection Centers And Distribution Business Ramp; Maintain $13 Target",
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      "Headline": "Atrium Research - KRI: Further Expansion of Road Cut & Jagger Highlights Strong Grades",
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      "Headline": "Atrium Research - ESAU: Ocean Partners Offtake Finalized; $9M Working Capital Facility Secured",
      "Synopsis": "What you need to know:\n•\tESGold has signed a definitive doré purchase agreement with Ocean Partners, which will purchase 100% of the gold and silver doré produced from Montauban.  \n•\tThe agreement includes a non-dilutive working capital facility of up to $9M available in two tranches ($3M and $6M). \n•\tField collection for the expanded 70km2 ANT survey is now complete, with drill permits anticipated in the near term. \n\nThis morning, ESGold Corp. (ESAU:CSE, ESAUF:OTC, Z7D:FSE) announced that it has signed a definitive gold and silver doré purchase agreement with Ocean Partners UK Ltd., which came on the back of the binding term sheet announced in October 2025. Ocean Partners is a globally recognized metals trading, technical advisory, and mine financing group serving the international mining and smelting industries and will purchase 100% of doré produced from Montauban's tailings and crown pillar material. The agreement also provides ESGold with access to a non-dilutive working capital facility of up to $9M. In parallel, ESGold confirmed that field collection for its expanded 70km² district-scale Ambient Noise Tomography survey is now complete, and that drill permits are anticipated to be received in the near term. We are maintaining our BUY rating and target price of C$1.30/share on ESGold. \n\nAgreement Terms \nOcean Partners will purchase 100% of the gold and silver doré produced from the Montauban Project, derived from tailings and potential crown pillar material, with minimum delivery commitments totalling 50Koz Au and 1.0Moz Ag over the term of the agreement, which is based on projected production scenarios and development plans. Pricing is based on prevailing LBMA or COMEX market prices, with Ocean Partners paying for 99.8% of contained gold and 99% of contained silver, subject to refining charges of US$0.80 per payable ounce of gold and US$0.50 per payable ounce of silver. \n\nThe Agreement provides ESGold with access to a working capital facility of up to $9M, available in two tranches consisting of an initial $3M tranche and a subsequent $6M tranche. Each drawn tranche is subject to a 1% arrangement fee and bears interest at three-month term SOFR plus 7.00% per annum until repaid, and ESAU will have flexibility with regard to timing and use of the facility.",
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      "Headline": "Sidoti & Company - Universal Enters Fiscal Year End On Solid Footing As Tobacco Provides Earnings Durability And Ingredients Platform Continues To Scale, In Our View; Maintain $78 Price Target",
      "Synopsis": "We expect 4Q:F26 sales of $728.2 million, up 3.7% year over year. We expect results to be driven by Tobacco sales of $634.1 million, up 3.5% year over year, reflecting continued normalization in the global leaf market, and Ingredients sales of $94.1 million, up 5.0% year over year, supported by ongoing customer engagement and gradual pipeline conversion within the Ingredients platform.\r\nWe project gross profit of $135.9 million, representing an 18.7% consolidated gross margin. We expect a Tobacco gross margin of 18.8%, reflecting disciplined sourcing and efficient throughput in a more balanced supply environment, and an Ingredients gross margin of 17.7%, reflecting ongoing fixed-cost absorption associated with the Lancaster facility expansion as the platform continues to scale.\r\nWe expect adjusted EPS of $1.08 in 4Q:F26, up 35% year over year, reflecting a more favorable comparison base relative to the prior year period and continued earnings contribution from Tobacco Operations.\r\nLiquidity remains solid following the refinancing and upsizing of the senior unsecured credit facility by $250 million during the third quarter. As of December 31, 2025, net debt was $995 million and total liquidity totaled $917 million, reflecting a conservative and well-positioned balance sheet as the company enters fiscal year end.\r\nWe maintain our $78 price target on UVV shares, based on 17x our F2028 adjusted EPS estimate of $4.61. The company's consistent free cash flow generation, conservative leverage, and reliable operating performance continue to support our moderate risk rating.",
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      "Headline": "Edison - Immix Biopharma:Improved NEXICART-2 data; runway extends",
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      "Headline": "Atrium Research - CTEK: Uneventful Q1; Expecting Step-Change in Q2 & Q3",
      "Synopsis": "•\tCTEK reported a softer Q1, with revenue of $3.5M (-5% YoY) vs. our $3.8M estimate and Adjusted EBITDA was $1.0M (28% margin) compared to our estimate of $1.2M.\n•\tManagement utilized the quarter to prepare for the step-change in revenue ahead as it executes on its large international order starting in Q2.\n•\tWe recently interviewed CEO Riley Taggart, watch it here. \n\nCleantek Industries (CTEK:TSXV, GLKFF:OTCPK) reported its Q1 financial results, which were just below our estimates; however, the Company maintained its outlook for 2026, citing a large ramp in revenue and EBITDA ahead. This comes with the execution of its international HALO order starting in late Q2, the largest contract in company history. For a briefing on this, please refer to our initiation report on the Company here. We are maintaining our BUY rating and $1.10/share target price on CTEK.\n\nQ1 Financial Highlights\n•\tQ1 revenue was $3.5M (-5% YoY), below our $3.8M estimate. Gross margin for the quarter came in at 59% vs. our 60% forecast and 63% in Q1/25. \n•\tRevenue included $3.3M in rental revenue and services (-2% YoY) and $0.2M in equipment sales (-41% YoY). The YoY decrease in equipment sales is not a reflection of demand, but rather timing as the Company heads into Q2 with installations underway for the HALO International Program.\n•\tAdjusted EBITDA came in at $1.0M (-21% YoY) vs. our estimate of $1.2M and the $1.3M reported last year, representing a 28% margin (vs. 31% expected). This compares to annual guidance of $7.2-7.5M, implying a large ramp ahead.",
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      "Headline": "Sidoti & Company - Conference Notes: Diversity, Backlog, Margin Recovery And Opportunity Profile Highlighted In Presentation; Maintain Estimates And $16 Price Target",
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      "Headline": "Zacks Small Cap Research - HURA: Refining TBS-2025 Development Plan",
      "Synopsis": "TuHURA is a clinical-stage, oncology-focused biotechnology company advancing innate immune agonists, checkpoint inhibitors & antibody-drug conjugates (ADCs). Its IFx platform technology features IFx-2.0 tumoral injection delivery for Merkel cell carcinoma (MCC). IFx encodes a bacterial protein to be expressed in cancer cells, activating the innate immune system & subsequent cascade that may eliminate the tumor. Other assets include an anti-VISTA antibody acquired from Kineta & the ADC ?-opioid receptor which may be used to treat blood cancers. IFx-2.0 uses pDNA to encode the production of Emm55 on cancer cells to elicit an immune response. A pivotal trial is underway, with a plan for FDA approval in 24 months using accelerated regulatory pathways & support from Project Frontrunner. Other assets in the portfolio may also advance quickly with supportive early data. TuHURA entered into a $50 million credit facility in April 2026 that should support operations until 2028. Additional capital raises and partnerships with established biopharma companies may augment these funds.  Initial clinical studies target rare and blood cancers. Future opportunities lie in oncology using combinations with other immunotherapies.",
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      "Headline": "eResearch - TTGI’s FQ2/2026 Delivers: First Combined Platform Quarter in Line, Focus Shifts to Integration and Cost Optimization",
      "Synopsis": "Turnium Technology Group Inc. (“TTGI” or the Company) is a Vancouver-based public company that delivers scalable, secure, and cost-effective network and Information Technology (IT) solutions through a unified Technology-as-a-Service (TaaS) model. TTGI operates globally through its three wholly owned subsidiaries: Turnium Network Solutions Inc. (TNSI), Claratti Pty. Ltd. (Claratti), and Insentra, which together form a complete suite of business technology solutions. TNSI’s Software-Defined Wide Area Network (SD-WAN) platform enables service providers, IT resellers, and enterprise customers to build and manage secure, resilient wide area networks. Claratti delivers telecom, managed networks & IT services, mobile services, cybersecurity, and cloud infrastructure solutions. Insentra provides channel-only advisory, professional services, and managed IT solutions across the United States, the United Kingdom, and Asia-Pacific. (1.0) REPORT HIGHLIGHTS: (1.1) FQ2/2026 Results in Line: TTGI reported revenue of $6.44M, in line with our estimate of $6.40M, representing the first full quarter consolidating TNSI, Claratti, and Insentra. Adj. EBITDA loss was $1.85M, including $0.47M in one-time M&A and financing transaction costs that are not expected in FQ3/2026. (1.2) Guidance Reaffirmed, Sequential Revenue Growth Expected: Management reaffirmed revenue guidance of $7.0-$7.5M in FQ3/2026 and $8.0-$8.5M in FQ4/2026, implying continued sequential growth toward the $28-$32M 12-month target. A cost optimization program targeting $1.2-$2.4M in annualized SG&A reductions has been initiated to help improve cash flow. (1.3) Insentra U.S. Enterprise Pipeline Building: Post-quarter, Insentra secured two six-figure U.S. enterprise contracts, both structured as multi-phase programs with recurring revenue potential. These wins validate Insentra's enterprise credentials and channel-led growth model beyond its core Australian market. (1.4) Balance Sheet Repair Remains the Key Risk: Total debt increased to $19.9M but includes ~$7M in VTB loan & earn-outs. The $6.0M private placement announced 3/31 targets $2.5M in debt retirement & $3.5M in working capital. (2.0) FINANCIAL ANALYSIS & VALUATION: (2.1) We valued TTGI using an Equal-Weighted average of DCF & EV/Revenue, which we believe reflects its high recurring revenue mix, margins, and revenue growth profile (organic, improving SD-WAN business, a full-year contribution from Claratti, and Insentra starting FQ2/2026). (2.2) We are maintaining our Speculative Buy rating and increasing our 12-month Target Price to $0.35 per share.",
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      "Headline": "RaaS Research Group - Setting up for an important September Quarter",
      "Synopsis": "Provaris Energy Ltd (ASX.PV1) is an unique investment opportunity as a leveraged play on the global shift to carbon reduction and alternative energy through its innovative and proprietary storage tank design for liquified CO2 (LCO2) and compressed hydrogen. The company is entering a critical phase on the commercialisation pathway, currently in a fabrication phase of its hydrogen tank prototype, whilst in parallel, progressing its LCO2 business stream currently in the Front End Engineering Design (FEED) development phase. We suggest both tank prototypes could receive Class Approvals in the September quarter (RaaS estimate).The LCO2 development model continues to advance at an accelerated pace, although perhaps still at a formative level, with potential commercial-scale fabrication facilities scoped and a MOU confirmed to evaluate manufacturing, cost and deliverability timelines. We believe the commercial gap between the LCO2 and hydrogen opportunities is closing and are hopeful for more definition around the LCO2 revenue model through the later part of the year. We hold to our view that the development potential can be considered as somewhat open-ended in a practical sense, based on large addressable markets for clean energy and carbon capture. Provaris will not be the only play(er) in these emerging sectors, but achieving 2026 deliverables should cement the company’s significant IP early-mover advantage.",
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      "Headline": "Sidoti & Company - Despite The Tough Housing Backdrop, BSET Poised For An Earnings Rebound Driven By Growth Initiatives, Cost Savings, And Its U.S. Centric Manufacturing Footprint; Maintain $21 Price Target",
      "Synopsis": "Earlier this week, Bassett's CFO Mike Daniel participated in one-on-one meetings at the Sidoti May 2026 investor conference. \r\nLike other home furnishing companies, Bassett has been impacted by a stubbornly slow housing market, elevated interest rates, low consumer confidence and ongoing geopolitical and tariff uncertainties. \r\nEven so, we anticipate that BSET will profit from its previously articulated five-point business improvement plan aimed at driving sales growth.\r\nIn addition, with additional cost savings actions, and its domestic manufacturing footprint, we estimate EPS growth to $0.90 in F2026 and to $1.58 in F2027, up from $0.74 in F2025.  \r\nOur moderate risk rating factors in expected earnings growth, a strong balance sheet and estimated free cash flow generation.",
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      "Headline": "Sidoti & Company - Project 6% Q4:F26 EPS Growth On 17% Higher Revenue; Cisco's Results Augur Well For PLUS And Point To Another Quarter Of Strong Hardware Demand; Maintain $115 Target",
      "Synopsis": "We estimate 4Q:F26 revenue increased 17% year over year to $570.1 million and EPS (including stock compensation expense) grew 6% to $1.00.  \r\nHardware demand has rebounded in F2026. We expect recent momentum to continue in 4Q:F26 as PLUS is positioned in mission critical areas of the IT market like cloud, data center, networking and security and the emergence of enterprise AI spending is driving demand.\r\n We think Cisco's (NASDAQ: CSCO, NC) recent earnings results and market commentary augur well for PLUS' upcoming earnings report.  \r\nePlus ended 3Q:F26 with no debt and cash of $326 million ($12.41 per share). Higher inventory, due to an increase in projects in progress, will negatively affect cash flow in F2026. We expect cash flow to rebound as working capital needs steady.\r\nWe maintain our $115 price target based on 18x our F2028 EPS estimate of $6.36. Given the company's track record of profits and debt-free balance sheet, we assign the stock a Moderate risk rating.",
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      "Headline": "Sidoti & Company - Despite Macro Headwinds, We Expect FLXS To Outperform Peers, Given Its Focus On Product Innovation, Consumer Relevance, And Solid Execution; Maintain $69 Price Target",
      "Synopsis": "Yesterday, Flexsteel's CEO Derek Schmidt and CFO Mike Ressler presented at the Sidoti May 2026 investor conference. \r\nLike other home furnishing companies, Flexsteel has been impacted by a stubbornly slow housing market, elevated interest rates, low consumer confidence and ongoing geopolitical and tariff uncertainties.\r\nFLXS has been able to outperform many of its peers with 10 consecutive quarters of sales gains (including the recently reported March quarter). The company has been successful driving meaningful new product innovation, focusing on consumer relevance, and improving its brand awareness. \r\nWe expect continued solid execution, aided by the benefit of the recent significant share repurchase transaction, to fuel continued annual EPS gains through F2028, even with recent cost pressures related to fuel and foam. \r\nOur price target of $69 is based on 12x our F2028 EPS estimate of $5.78. \r\nOur moderate risk rating factors in Flexsteel's healthy long-term earnings growth outlook and its solid financial profile.",
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      "Headline": "Astris Advisory - Digital Hearts Holdings (3676) Q4 FY3/26 results update: Striving for balance between stability and growth",
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