$MVIS a big what if I suppose. I’m assuming this may not make much sense but... what if the SP rose dramatically to say $24.(3.5b). Roughly around the typical estimate of the buyout. Come to find out, after the hault, the company actually sold for closer to $14 a share (2b). And in hindsight you should’ve sold beforehand? Is that just dumb? Or something to think about
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