Hopefully the picture resolution works
Decided to track Regals investment strategy to see if there are any patterns, Im laying it out there for everyone to make their own opinions.
Some patterns I can see is that Regal is in a strong accumulation mode after a CR. After some gains they shed off some shares and reload on the next CR.
The MSIC Index fund seemed to be an interesting event, they manage to offload a lot of shares they scooped up for $10 from $14- $18, then the obvious 500k shares at $21 into the fund.
With the FIB lines and target coming into around $28 I can see them shedding shares off from $20-$24 whilst maintaining a fair chunk.
I am interesting to hear ya'll thoughts.
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