of Not or Fwr at this moment. I thought that there might be more trading volume with shareholders not happy with the turn of event, either one way or the other. I dumped my FWR shares a week ago at >98 and quickly bought Not with the proceeds at $2.60, obviously thinking we were headed to $3 - $3.50 range on good NR's. Bad call on my part but I don't think I was alone on this move, maybe just pulled the trigger too soon.
Going forward anyone have insight/opinion on SP activity short term (1 month or less). Will we see $1.50 as some have predicted and if so why?
Justduke