Kinda hard to know their full direction until deal settles. Either they go for a mono direction of tech or keep the holding company multi direction. Think it's flatlined after the trading buzz a while back that had it as a hot hand run. Given the balance sheet and promise I am a bit surprised it has lingered so long in this narrow range. Probably the oveall market staleness for retail players. No risk but less return seems to be mantra. Hang tight.