To: technetium who wrote (148 ) 5/17/2021 2:59:59 PM From: technetium Read Replies (1) | Respond to of 307 Well, at the very end for some reason I screwed up Dew’s Share counts for the split stocks. It seems I don’t know when to multiply or divide with a reverse split. For the moment I’ve just used his portfolio count for those two stocks, but I’m going to at some time redo my calculation to make sure there isn’t something more lurking in my underpinnings. I’m going to keep a close watch on Dew’s portfolio going forward. Further Notes: Some earlier reports might not have been quite up to date for people (BULBA, QUID, RAJU) who had invested in LGVW (now BFLY) as the LGVW value froze at some point, and now is in fact an empty line in the downloaded share price spreadsheets. We are now, and will going forward, be up to date. Without explicitly following all the symbols, it might be a week or so off if there are unnoticed splits, mergers, symbol changes. Since the beginning of the year this has affected ANCN (now CMMB, reverse 20:1) , SNCA (Now PALI, reverse 6:1), and LGVW (now recast via a SPAC as BFLY). Buyouts have only affected two participants: Dewdil: CMMB 12.5% allocation, 392.99 shares BEAT 0% — CBLI 12.5% 2819.55 PRVL 0% — RVNC 50%1756.76 PALI 12.5% 1748.33 UROV 0% — YMTX 12.5% 689.05 JACKH ARNA 11.1% 143.8 ATHA 11.1% 337.52 BCLI 11.1% 2422.97 CERC 11.1% 4164.66 LXRX 11.1% 3069.54 ORTX 11.1% 2485.24 PRVL 0% — QURE 11.1%305.27 SESN 11.1% 8087.00 THTX 11.1% 4465.44 Other lightly traded stocks in people’s portfolios: FPRX, GNMK, LOAC, PAND, Report Time Ranges From To Recent 4/23/2021 4/30/2021 YTD 12/31/2020 Index Performance Symbol Recent YTD ^IXIC -0.39% 8.34% ^NBI -0.29% 2.23% ^SPSIBI 1.89% -2.90% Share Performance Recent YTD Top 5 Bottom 5 Top 5 Bottom 5 CERC 23.137% BNTC -25.739% PAND 304.38% PAND 304.38% APLI.TO 19.737% PALI -17.722% ANVS 193.63% ANVS 193.63% OCUL 18.926% BTI.V -12.500% PDSB 167.29% PDSB 167.29% BLCM 16.772% MRUS -10.894% BIOX 141.94% BIOX 141.94% REPL 16.122% CLXT -9.619% DVAX 124.27% DVAX 124.27% Top 10 Portfolio Performance YTD DNAJOE 58.70% BMAZ 42.81% MASTER 41.40% ERIK 35.73% WINTER 33.68% DANIEL 33.55% OLIVER 29.69% OHMS 27.18% ECCU 25.48% FARM 23.86% Average and Median Portfolio Performance Avg Recent Avg YTD Median Recent Median YTD $1379.68 6.13% CUTTING $1410.48 CUTTING 2.55% 1.422% FARM 1.292%