I am happy with how most events have panned out and the overal management approach although would have a different approach on several issues. It is easy to say that when you are not in possession of all the information so I am passively accepting of the current strategy on the basis that it will maximize the value of the company principals. Their interests are my interests. Unfortunate delays may give pause for concern but they don't worry me if there is a higher goal. I am looking at this as a 5 year investment so strategically the volatility in share price is of no concern. Short term weakness will be swept away with the least bit of news and even if the price doubled on that news can I ask you whether you would then be tempted to sell in advance of the IPO? It would not even make me blink.
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