Ignoring any emotional attachment to the company. Which would be the better investment thesis?
A. Holding 200,000 at 015 worth $30,000, holding down to 012 and sitting on a $6,000 paper loss.
or
B. Selling 200,000 shares at 015. Buying back 200,000 shares at 012 and having $6,000 to buy 54,545 additional shares, or just holding cash for better opportunities.
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