cannot blow up the company since B is too valuable- probably. but can hurt us if it fails, we just do not know by how much
buy more now, since B seems to be proving out?in all its potential apps? or wait for a possible P failure, and a stall, and further share price plummet to get more shares?
Our best hope is to delay deal as long as possible without too much dilution. And science keeps progressing. Too me, this is our best hope, which would maximize value the quickest.