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Entry comments: 3M S/O, 1M float. 53% insiders. No dilution, shrinking shares even. TBV 10$, Rev 18$, EPS 1,24. Little spikes. In 6,5$ previous to covid. Long history. Historically in 7-8 $ range. It has spikes, low floater. Sold and bought in the same day with 10% gain. Waiting till the next spike. Exit comments: Out in an intraday spike without news. If it comes back to 4,75$ range I will buy again. Low floater with 10-20% gains if you buy cheap.

Entry comments: The same as the other day before the spike. P&C insurer, so cheap regarding to the TBV. Cash+st investments (40$ share). 18M S/O, 12M float. No dilution. in the down side of the long range chart. a big dip since end of 2019 (17$ share). Not a lot of EPS (0,5) but it's positive. TBV 13$ (ascending). REv 16$. LT debt 5,79$ share (104M), plenty of room with Cash+Investments. With the dip in the stock price there are a lot of lawsuits against the insurer.
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