Hahaha yea we all make mistakes like that! no harm no foul.
Yea I'll be taking up the bonus options for sure. As I've said - I find 3% of my total xpe investment to be fairly cheap insurance to protect against 50% dilution should they get in the money- as well it buying me the opportunity to pick up potential gains with some serious leverage.
My personal thoughts are these should easily land in the money by Jan. (total speculation of course cause who knows). But with the CN holder nearly done and revenue announcements coming soon and a whole pipeline of MOUs which should hopefully convert to deals etc it seems quite possible. I think the $2m+ worth of CN selling has put us into the WAY oversold category and we should see some recovery after they're done and gone.
Plus - people seem to think 4c is such a stretch from where we are now - but they forget we've spent about 338 out of the last 383 days above the 4c mark.
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