I'm still 100% in for reasons that are consistent with my investment decision. In all the times I purchased shares, I did it with no sales data to reassure myself that I was paying a fair price -- data that you ignorantly complain about not having in order to properly value this Company. Unlike you, I know why I purchased shares and am fully aware that the share price does not reflect the actual value of the Company.
Why are you still holding on to the 10%? Why not just cash it all out? Still afraid of being the ultimate contrarian indicator?