Unfortunately I'm not that positive. The collateral shares, delays for the stock dividend, Yap resigning. Not even TRW is doing well.
Solomon is destroying our future in front of our eyes. I hate to admit it but that's what we're looking it.
Risk of going-dark is increasing. The potential for lawsuits is going up by the week. Do they have to write off the $45M due to CA because the MF is not performing? More potential lawsuits. Dan could be the next person to resign. And then there will be a panic.
But I'm not selling at these levels. Yes, stubborn and naive comes to mind.
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