Just kind of wondering, lol. Does no good to do a buyback if you had 1.5 billion outstanding one week and the next its 2.25 right?
How does all the numbers add up to this? I see everyone crunching numbers yet no chat on the board that I saw about how we grew that many shares.
Not bashing but I just dont want to log next week and see 3 billion outstanding, where does that stop? Am sure there is an explanation but have yet to find it is all. That is a lot of shares added to the mix of things and I haven't found the info as to why it was added. Makes a difference imo of overall projections.