Any ideas on why we are breaking above 12. This was a level tested a few times in last 5 months. I am not complaining. Actually thought 10 or 11 was too cheap. I expect SPLS to be a good long term holding. and the 3.5% div is nice too.
Perhaps, there is renewed buyout interest?
Or, just a move with overall market?
Or good sales for the Q coming in next report?