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Tuesday, September 25, 2007 10:44:44 PM
what would be the benefit of Spzi owning part of 141...it would seem that any profit would be doled out to the 141 company...and even if dividends were given, back to SPZI...this would show up on our balance sheet as an asset, but fixed...we would not get the benefit of multiplied ratio of valuation in the SPZI company....only indirect gain...
so why couldn't they just trade it within the company of spzi?? what was the need for the quiet period. I mean, MSFT gets money from software, and they invest their cash...
we could get money from software, and invest cash as well??? no?
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