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Not a good look.When you look at Warner's direct and indirect...

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    Not a good look.
    When you look at Warner's direct and indirect net effect over the last several months, by my calculations there has been a $100k reduction in holdings all while spruiking sales in Q4.
    Why reduce that much if sales are in the pipeline that you would assume would lift the SP significantly?

    It will be interesting to see when a CR is made?
 
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