Cabe, if you or Zzedzz, or anyone, developed a case of the collywobles in the present market and sold...well, that's perfectly understandable to me.
I imagine lots of portfolios are being 'rationalised' at the moment.
But no purpose is served in afterwards blaming others for the decision.
Particularly when, as I recall, you were the only folk working yourselves up into a frenzy over the raising in the first place.
Indeed, you people were offside from the outset. Zzedzz, I remember, had never even heard of a raising at premium. And was later jumping at shadows over our change of nominated advisor (nomad) in London, apparently thinking that had some implication for the raising.
What was it FDR said? "...nothing to fear but fear itself".
No, I really DON'T care about the particular timing of events as regards Director buying. In fact, I applaud ANY management who, in the context of THIS market, stands up and shows faith in its enterprise in such a sterling manner.
As I think I've said before...that's a VERY good sign!
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