But why wouldn't sophs continue to kick the tin when the likelihood of a price sensitive announcement coming out within a week is very high; allowing a quick 20% return, imo. Relatively low risk; most T20 holders are trapped at a much higher average. There is lack of liquidity to off-load a large holding without taking a massive hair-cut. Look at what happened to old mate's mate when he was a distressed seller.
NOR
Price at posting:
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