If I would have listened to you and other similar messages from other nervous Nelly’s over time I would have been a poor person. The reasons for selling have been explained ad nausea here. Good and very justifiable reasons. The BOD holds more shares than ever and so do Institutions and Funds. You should read better.
You are not going to influence others to either sell or not to purchase more shares. What you say is not convincing others. We all do our own DD. It is very easy to verify what is real and what is not real.
The absence of open market Purchases by management does not indicate a lack of confidence in the company. From a diversification standpoint, LW LG is the last thing they should buy in the open market.