The points I'm making is that buying at the higher price levels of April-May has so far yielded very high % losses with a plummeting stock price caused by massive dilution which I think could have been better conveyed by managament. Also, such aggressive dilutive selling whenever a rally emerged is a good way to obliterate investor confidence.
At this point I don't see a better way to get into the stock but a more risk-free lower price. You are correct, there is a possibility that I would miss a run in the stock price. It's strictly the way I look at the risk reward at this point.
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