A final one from me for the time being.
It's all about risk management, and individual holders risk analysis.
My risk analysis is that:
There's a 25% chance of the company going bust- in which case the tech should be sold off giving some return
There's a 50% chance of a takeover / partnership at a reasonable value, maybe giving a market cap of $400m
There's a 25 % chance of a takeover / partnership at a significant profit over current levels
I don't see any chance of the company soldiering on and getting to market on its own
Happy to see alternative views
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