Thinking of loading up on some more LEI (good posters on that board with some compelling insight) or adding to my MHR position. Anyone with knowledge of both companies is welcome to comment. That 11.5mm float on LEI is making me lean in that direction. GLTA.
Not sure exactly where the Dow was when I went to cash. I made the posts on this board with the exact dates. Did it several times in the last few months as the market started to slide. Took a hit when the Dow went from 12,500 or so down to about 11,000 which is when I first started unloading some equities and taking dough off the table while watching the Euro begin it's slide and following the Greek debt crisis. If you go back through this thread far enough you'll see my posts with the dates of when I began to liquidate equities and head for the sidelines. I was holding a fair amount of cash the day of the Flash Crash and sold more at the end of that day after the market bounced back from the 1,000 point drop. Don't have the exact numbers for the Dow on the days I made my posts but it's easy enough to figure out.
I've owned LEI and have suggested others have a look as well. John's and several others on the board have or do own it. ard. Very attractive company in my opinion especially since the BP disaster. I don't own it now because I sold and took profits but I'm watching it and there's a lot to like.