After the stock moved up from $378 to $381 in December, was there no risk at all of the deal not going through? Or do the risks you discuss in the second half of this also apply to after that move?
After the stock moved up from $378 to $381 in December, was there no risk at all of the deal not going through? Or do the risks you discuss in the second half of this also apply to after that move?
After the stock moved up from $378 to $381 in December, was there no risk at all of the deal not going through? Or do the risks you discuss in the second half of this also apply to after that move?