At least we must understand the risk. I.e this year I bought a lot more to leverage my losses when the D&B report and the TRW dividend came out.
And after that we had the AGM-teaser. And the mega-loan teaser.
I now fear the only motive from the company was to stop steep fall in shareprice, only to be able to dump collateral shares. We never got information about loan default or no explaination.
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