Just to clarify, I don’t believe I ever provided any advice, just articulated my own strategy which was to wait until what I thought would be an eventual capital raise (as part of the financing), and until funding was more or less resolved. The strategy means you miss out on some upside but you also miss out on the downside in the meantime. Aside from that I can claim no special foresight, I never thought it would get punished as it has. Big volume today, heaviest in a whole year, so hopefully it is very close to finding a bottom. Cheers
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