It's been a strange lead in i'll give it that - no spike in anticipation ?
Even though it's open label how much can they really see before correlating the data ?
Did they already see the big weight outlier before they crunched the interim data last year ?
I also find it very strange that the MD released an update 3 days before the trading halt to say that in 3 days we will be walking into one - bizarre ? I don't really buy the fact that it was giving a friendly heads up "get set" message or was simply to quell the phone from ringing over the weekend when data wasn't released on the last business day of the month but it would be the first business day following ? Just bizarre :-/
Anyway only a few days - good luck to all.
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