I would tend to lean to scenario #1. #2 is too
Post# of 85499
#2 is too risky.
#3 will be failure and it's not in his DNA.
Not sure how everything is going to transpire, but I would initially settle for Pink current.
I'm holding for the long run, not looking to sell my shares in the beginning of this.
Many will bail immediately. Not going to be my game plan.
Some have enough shares to sell big blocks immediately THEN hold the rest for future riches.
I will be milking thisfor everything I can.
Looking forward to where it's headed.