So forgive my lack of knowledge in this area, but if what you say is true regarding broker activity, influence and control over SP.. and withstanding the fact the company has employed the services of these brokers.
Then presumably the company is ok with the strategies employed by the brokers to reach the goals of growing sp / mc long term?
Of course it might not be legal/ethical nor good PR for a company to admit this type of support for this activity.
So if this is true (and fundamentals remain strong) long term holders just need to keep trusting the process?
I don’t work in the finance industry, so keen to hear thoughts from anyone.
GLTAH
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