I expected much higher pricing after their "Blow-Out" Quarter BUT all we got was a declining share price.
I doubt they will ever beat or match their great performance of this past year so where does this leave us?
I asked a question and was looking for an answer, not another question.
Why am I holding? Because I don't like turning paper losses into real losses. My question was asked to avoid the loss and waas hopeful someone would have an intelligent and/or constructive answer.
Don't bother replying.