Some people sold after really decent run up into the 1.40's, and there's only been one buyback (mid Oct'15) and one sell (late Jan'16) since then (with a tricky fake out to be avoided in Feb'16). Currently it's still a 'sold-stay-out'. But that's a capital management viewpoint, I haven't bothered to figure out whether the dividends would've ameliorated the capital losses had one chosen to hold for the duration after the price peaks. The rest of the story is just noise.