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Friday, August 29, 2014 12:38:36 PM
i hold and hope the pps stays strong enough through Sept and then im good for the divi (if/when) and the 10-q to offsets losses
or sell and buy again mid-sept when the price has fallen into .23-.26 or so but before the 10-q and before the S1 (risky but maybe not)
probabilities of each scenario?
am i missing anything in my calculations?
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