I just can't help but think the whole WGX move may have actually saved us, but we were blinded by that it really wasn't a great obvious deal.
We appear to be controlled by those who want to see our share price drop, so they can keep acquiring low and eventually t/o low.
That deal may have seen the power removed from their hands to do that. Although we had to give up a chunk of the company, we may have been shifting the balance of control enough to free the shackles. But all we saw was a poor on paper deal so it was voted out.
After all, we keep giving up a chunk of the company with each low cr. So what the difference??
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7 | 1102111 | 0.009 |
5 | 10485363 | 0.008 |
4 | 795619 | 0.007 |
5 | 1216475 | 0.006 |
Price($) | Vol. | No. |
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0.012 | 1113311 | 7 |
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