they sucked the volatility right out of AMZN as they blew out the multiple here: meanwhile
AAPL is where the volatility is and it makes a ton of money and pays dividends. shouldn't it be the other way around where the volatility is on the the one you can't pin positive earnings on? where the multiple should bunjiie jump around when it gets up to 3000? acting like a utiilty stock except it has a 3000 PE with no dividend except internally to Bezos & Co. You gotta wonder how this market has been turned upside down by Bernanke funny money.