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RealDutch

10/14/17 9:40 PM

#121333 RE: RealDutch #121331

I really don't get it. Suppose it's option A) and the collateral shares have been sold. So be it. Perhaps we will get them back. Perhaps not.

But if it is B) or C), The short sellers, would you spend $20M on share buybacks months from now. Or.... would you spend $3M on a cash dividend...
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Emilez

10/15/17 2:55 AM

#121337 RE: RealDutch #121331

Ok so you think the debt level goes down if they sell the shares. But not 100% certain that it is like that either I guess? Maybe they sell with the possibility of buying back later.