Regal is opportunistic. They are winning money and will often own well in excess of their current exposure here so I doubt there is any rebalancing. They are also thin on resources (as is almost every asset manager) so rely on trusted analysts for modelling, feedback and insights. There is virtually nothing here to give comfort. I suspect they'll also be very weary on governance. They can invest in anything, why make life hard for themselves.
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Open | High | Low | Value | Volume |
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