I'm not so sure about the logic of your conclusion seeing as the only value PASO brings is as the vehicle to go public. Ultimately, some of the things you are commenting on about PASO are somewhat irrelevant in the medium-long term for those holding for the RM, which is the only reason to hold shares here.
As an aside, I get that you have been here to post stuff in order to play devil's advocate (supposedly), but I don't really get the point if it is simply repeating yourself, or abject conjecture about the deal, or the way either company is run. Wait for another pump and then sell?
This isn't related to Investophile, but can we please have evidence based DD? E.G. tweets from JG, or official company documents etc. before making declarations on anything really? Feels as though this once helpful board has just been riddled with anxiety-laden posts and panicky retail for weeks now and it is doing nothing to contribute to the overall discussion.