@Rakcyt Yeah there was panic selling during May 7-8 but in later sessions when the overall market reacted worse VI still had good buy-to-sell qty and maintained its levels when other stocks and indices were bleeding.
VI Q4 results are scheduled on May 16 and only hoping that they narrow down losses and point to note is they lost 6,80,000 subscribers in march (fewest loss in trailing seven months)
Also, I guess Citigroup bought bulk at an avg of 12.7 on 26th Apr and sold recently to Ghisallo Master Fund at avg of 12.27., exiting ~39.56% and holding the rest & also stated a target of 25 in a bullish case. Am I right?
What do you say the external factors look like now? (Only with respect to market stability :)
@Chhote Lal Yes, planning to exit at different levels here
Anything to add on, people are welcome here