Hi All
Long time listener first time poster
I don't get the arguments about SP increasing if Debt holders are selling. If debt holders have board seats then they'd have access to information about a company's performance.
So if projections/expectations are all rosy and sparkly for a particular company (as some people are mentioning), why would a debt holder possibly want to sell out at these levels??
Just a 2.8c comment from a first time poster

DYOR etc etc