Yes I can - much much more than I can live with no deal - which is a risk I have been considering for months - I am a realist and try consider all possibilities:
A 95% loss on no deal is a disaster in terms of how heavy I am now in ODN.
A 30% loss on a bad deal is a huge p!ss-off but would only put me back to zero-net when offset against other recent gains in other investments.
A 100% gain (on a mediocre deal and revised earning potential) would make me feel relieved, but still a bit peeved for the 4 months of waiting and worry.
A 300-500% Gain is what I am realistically hoping for - after assessing this for months.
1000%+ Gains I think are pipe-dreaming - but would love to be proven wrong.
I am very very happy today to consider the first option as off-the-table - the others are all still possibilities
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