RE:RE:RE:A Question Asked Their model portfolio has had a 150% return since 2013 but S&P return is 270% since then.
In terms of exiting, why buy high and sell low?
I'm not sure if 5iR considered everything in the pipelene
(eg. https://www.exro.com/news/exro-provides-operations-update-with-letter-to-shareholders )
and it is of course hard to put a price on upcoming contracts (KTM notwithstanding) but as long as my wife doesn't find out about how much EXRO has gone down in the short term here then hey it's all good for me IMO.