At such low pps in relationship to the companies calculable real value, it looks like the statistical odds would favor a high probability of making a substantial return with minimal downside risks beginning at 73, and anywhere in the 65-75 range. But presently there is a great amount of uncertainty in the market generally (elections, Fed, etc.) and with this company, specifically. The timing of buying shares at these levels will be tricky and a difficult task. Unless there is some unknown hidden problems lurking or some unforeseen future events that will negatively impact markets and/or gild, I do not see any reason why investors will not be well rewarded for buying shares at these levels. What say you?