Interesting, the CEO is selling while a senior PM is buying.
The use of a 144 implies to my mind selling the position @ a discount to an institution.
Presumably selling that large a position $250K in the OM would hurt its price. This doesn't seem good on its face but their might be some personal reason prompting the sell. Yet it sure looks like nothing too positive on ADX is known to the CEO with him unloading so much.
Thx for the info.
BTW I ran into this story bout the CEO. Looks like the cef complex added another pooled investment vehicle for Euro investors.
https://
www.altii.de/de/topics/197/our-approach-has-delivered-consistent-results-for-many-many-years/