Institutional Investors21 Sep 2018 17:30
I wonder if the II's care/worry/complain as much about the SP as us retail investors? It must be telling that over the last 6 months (or whatever the period) there has been a change on the share register from 65/35 II/RI to 75/25. Could they give a toss if the underlying business is doing what it is meant to be doing, and even overachieving, whilst the SP is dropping? Would they be giving Dan a hard time behind close doors or will they be sitting back, with an eye on the SP, expecting the SP to catch up at some time in the future? Makes me think if some of the RI's are investors or gambles?