The way I see it, if longs continue to buy those "cheap" shares the more the CD holder will dump. The CD holder has ~10billion shares to dump. Do you have the money to buy 10 billion shares? Even if you could buy them the dilution would kill you and everyone else and there would surely be a R/S.
I think the best strategy is to not buy any shares until SW can make a deal. Since SW has not been able to make a deal with the CD holders, and I believe he has been trying for the better part of a year, why should we believe he will be successful now?
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