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Re: turokman post# 67517

Tuesday, 06/17/2014 11:36:01 AM

Tuesday, June 17, 2014 11:36:01 AM

Post# of 80868
Turk, it is all about risk tolerance. If you are an average retail investor and have say $25K to throw at MSLP and you buy your 2,200 shares at approx 11.40. What if the sec issue turns out to take another 6-12 months to clear up and there are some added risk to this. We could easily take a $3 or more hit and the average investor just lost over $6K of the $25. That is a big risk for most folks.

Now I personally don't think any of this will happen but there is a fear factor for the avg joe. I'm perfectly ok with letting the others pay much higher prices for my shares.

So what is your strategy for an exit on this. Wait for a buyout that way you don't have to worry about when to sell or a potential selloff? Peel some off along the way? Something else??

Thanks for your input. I appreciate it.