Is it me or I am being optimistic. Bought into the dip got in around 1.05 and so hold roll close was going to sell it but wanted to wait for financial. After seeing the number it's not as bad. It was trading @1.5 but that was last day bounce so realistically it's 1.35 and (-0.15) loss. $1.2 is expected.
ceo could have done better on conference call specially about Aristotle and need to be more clear about the LOI HC..
But in any case for short term this is going to be $1.25 +. Maybe even on Monday who knows. Good luck