Fair play, your money, your call. But to this point:
”IOU management could have maintained a timely release of informative material that would have supported a SP around say 55-65c”
I don’t think management should (or do) behave that reactively to the SP. I work for a listed company and our management certainly doesn’t.
It matters how the market responds to solid quarterly financial results IMO, not the periods in between. All it takes is research and patience. But 600k shares was a chunky holding so not critiquing your overall decision. Cheers
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