Time to regroup & evaluate with a rational head1) Let's see if RW bought more shares today (or post-today).
2) Silence on Roswell/Sheri is likely purposeful (to what end?)
3) RW has more to lose/gain with TLT versus anyone on earth. Maybe a $0.50+ PPS buyout coming in the next year. Higher if they can "fix" the current study.
4) Who is buying all of these shares at today's levels? Is it all retail or something else going on? Lots of dumping, but these shares are being picked-up by someone.
5) I believe that RW is re-evaluating the true "risks" involved in moving forward and will now be considering a partnership or JV like never before.
I think that all of this could be very positive for shareholders.