To disclose I have over 80 K invested in SAS. For some that might not be a lot but it's a great deal to me. I mentioned before I plan to go down with the ship so my sentiment is HELD. I don't day trade for pips but I feel the majority do.
With discretion for the short term, I genuinely feel we're set up for another CR which means obvious dilution and a fall in the SP. What's in the bank will need a top up and in my opinion MM hardly has had enough time to have reeled in a big fish. For those with little skin in the game my sentiment is to SELL because a better opportunity appears to be around the corner.
I understand the contradiction but I don't want to mislead others on this forum regarding my position. While you're of the opinion that I may not be doing my investment or SAS any justice with such a sentiment, neither have done any good for me in the past as of yet. When that changes I'll be sure to make an update.
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