Thought I'd do a few calculations myself and this is what I came up with.....
Assuming a best case scenario that one sold his parcel of shares at the the highest price of the past few days (0.36), then any price under approx 0.31 and you would have been better off to sell.....and any price over 0.31 and you would be further in front if you had held and collected the options....this is all assuming if you sold at the peak price of the last few days of 0.36
So as of yesterday's closing price it would have been better to hold.....of course this is all old news now....let's move on and see what the drill brings us.
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Thought I'd do a few calculations myself and this is what I came...
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