I'd be starting to get very nervous had I jumped in expecting an easy return once the t/o went through.
Imagine now realising its not looking good and your looking at the likely hood of a price drop and CR if Pfizer doesn't offer partnership as a 2nd option.
For longtermers the idea of a CR to get things back on track is a no brainer and willing to accept the SP drop in the meantime. But if you are a trader this is a dangerous place to be atm.
Eeek!
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