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    Hi philley and others.
    Outside an asx release, it appears the following hypothetical may be a realistic outcome re options.
    The stage is set for a possible late surge on the oppies to be excercised mainly between the 20th and expiry date (June 30th) this year. Will the actors perform? Time will tell.
    Interestingly and coincidentally, this correlation is simply on the topical deal of a company not under the ptx asserts yet common to more and more on here now and of course a dual role of one of our directors.
    The buying/selling on the 24th/25th ( the latter being the last trading day on the asx) is worth a look.
    Personally, my holdings cost me nothing. Nothing gained nothing lost as they say.
    One last point, the heads are gaining their own respective ground as lead ups towards results often do. This, in itself may be enough for a trigger effect. That said, the temptation timing and extra funding upon the exercised options scenario makes the above hypothetical less flawed then not.
    So, if we do have actors (late investor interest) playing their part, that re-rate you have previous mentioned may see an MC closer to the aggregate of others rather than the current and ridiculous present.
    Luck to all holders.
    Last edited by psych101: 04/06/18
 
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