The biggest problem is the 4 billion A/S which tells everyone that he will dilute it down again. Kills all confidence in the stock. Had he reduced it along with the o/s then maybe it would be a play post split. The A/S kills it. Then release more half news the day after? What the hell is he even thinking? Why not save it till later? Unless it is to blow out the rest of the present A/S since the split will be as of 1.4 billion. That is why it makes NO since in buying and holding now. Throwing good money after bad..
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