Sure, that's the equitable take, and works on the basis that we don't want the share price to (likely) accumulate as fast as possible. But then if you have any questions as to why the SP may later come up against a stumbling block, you'll have your answer based on the trading activity of recent weeks - people capping it by playing games; selling stock to then pick it up lower, and eligible to pick up allocations.
Also, those SHs who are still holding everything since IPO are those that had the chance to sell at all time highs and chose not to, which in the loyalty sense, in terms of building a solid register, I'd have thought would help all.
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