It would now appear that unless there is 1. Dumping at next/new level or 2. Further macro-economic malaise out of Eurozone or US, there is every liklihood we see contrained supply with increased demand in the run up to the ex-div. In other words, in my opinion, stock accumulation is more likely then distribution.
Im really interested to see how we fare post-dividend as the company aims to do it all again ...
Good luck holders.