it is a lot tougher climb back to 15.
I should have seen the writing on the wall when it cut thru the 200ma.
where the hell is management with some headlines? they going to wait until May 2nd and give us krappy earnings before saying anything?
From 15 to 12 with no news - steady low volume selling for most of it. They are at a 52 week/ multi-year low. Their earnings can't be worse than where the stock is current at. Oil is at 90bbl, this is worse than 2009 when oil hit 40bbl and NG was at 1.80. What is going on - anyone have insight to the company operations. They seem to be operating their capex within there revenues, so what is driving this down so far?