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General Discussion, page-5887

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    Interesting situation, If the big end of town were to increase their holding significantly on market
    Then the share price would have gone above the option strike price.

    And the end result would be that they would have had to pay a premium to increase their holding
    as well, that would have triggered a full uptake of options by retail, End result more dilution

    So the theory, is to hold the price below the strike price, to the last minute, and then convert
    thus increasing their holding but with less dilution to them ! catching retail off guard.

    We shall see what comes out in the wash !
    cheers.
 
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