This is the EXACT type of thing that shifts the balance from investing more into one company versus another....
For me I was preparing to increase my holding to something more substantial based on contributions in the unwashed group and the possible potential.
CG's clear shift in perspective around this, evidenced by the increasing instances of allocations with no clear KPI attached, means I have revisited this now and am investing elsewhere. Whats more, I wont be supporting in the event of a CR or discussing in a positive manner with my local investor pals...
To be clear, I have absolutely no issue with the issue of options / bonuses based on performance. I hold MQG as an example of this.
The best and those who intend to be the best reward for performance and the rest reward mediocrity. IMV a demonstration of both poor leadership and inability to negotiate..... I wont be rewarding this behavior...
GLAH
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