I don't get it mefish.
They clearly say in the booklet they may scale back and or increase the placeholding. There was zero mention of a guaranteed outcome, other than parameters on which the final decision would be concluded. They have not diverted from the published parameters, simply not optimized some participants best case scenario.
Everyone on the globe knows there's a conflict and specific to this asset type, risk associated with something (still) going wrong that would nose dive the sector and we would incur potential loss.
The nature of this sector at the moment is highly speculative despite the favorable macro conditions, so the sizable upside potential is accompanied with sizable downside potential.
Surely all of the above is considered before making a decision to assume the risk?
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I don't get it mefish.They clearly say in the booklet they may...
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