Not arguing about the fundamentals. This rollup business has been troubling for a lot of people for a long time and it unraveled and now they stand to lose money on many assets that they are selling at a loss to raise capital to reduce debt. Past management can be thanked for that mess.The bad news I think was their plan to refinance their debt wasn't very convincing.
No doubt recent price action correlated with annual report filings.
But again, this is just something that makes me go 'hmm'.
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