I understand the frustration of the holders of long duration. But I wouldn't lose sight of the narrowing of losses for the last year +, the closing in on profitability quarter to quarter, the ever increasing orders, the raising of target prices by analyst, the confidence of mgmt that they WILL be profitable soon.
The bonus doesn't change the improving fundamentals nor does the issuance of shares. One is deserved while the other will be put to go use I'm sure.
I'm not one bit surprised by the sell off and wouldn't be surprised if it followed thru with a little more downside. After the weak sisters are done, there's nothing to do but buy it.