I know we're harping on about it and seem to be in furious agreement, but thought I'd add my take on it all.
basically, the message to the market is
1. Trust us - we used to be RFE, but we've changed, the business model is totally different etc etc
2. Trust us - the majority of our financials are off balance sheet, and inflows and outflows are complicated and difficult to get a handle on without significant research and educated estimates
3. Trust us - the sp is low and arguably completely undervalued but our directors & management are completely loaded up on their significant holdings...oh wait strike that one
but if we're all waiting for the end game, then I guess we just sit tight and try to not get so disheartened by the short-term low sp and back management in to continue success on the ground
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