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Okay, so, completely hypothetically, thought-experiment only (this is the ~econ sub after all!)
...lets assume we made two share classes. Controlling (Class A)+ Non-Controlling (Class B). 50 of each shares. After cost revenue flows equally to all share holders once per month.
What would you pay for Class A? What about Class B?
Hypothetical. I'd bid 10@60k A. At this stage i have no interest in B.
Thinking about this more, originally I wasn't even thinking about control but then with the A and B idea, I was like ok yeah control, but really that's ok. No control can make it easier to get out of the hypothetical. Between me and Undisciplied it seems like you're half way to the outright.
I don't think I would be interested in whatever premium exists between A and B. I'm happy to just be part of discussions about how to manage the territory. I don't need a vote.
If we're talking about buying the territory outright for 3 mil, I'd be willing to pay 30k per 1% share and I'd be willing to buy two or three dozen shares.
2.5 years worth of the monthly fee seems on the reasonable side given potential long-term value.
That's my feeling too, especially when priced in a rapidly appreciating currency.
Metaphorical DD is ongoing. Would be interesting to accept pledges toward the 3M just to gauge interest. 2.5 years worth of the monthly fee seems on the reasonable side given potential long-term value.