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Been holding 3000 shares at 16.5 for over a year& a half + 200 shares at same in an IRA.Buying more this week. Banking on 10+ within a month,maybe back to 16 by mid year. If not, I'll buy & selltill get money back.Doubled from 7 - 14 for mein 6 months back in 96-97. Fundamentals haven'tchanged.
1. Decent and predictable earnings despite aslowing economy.2. Very attractive price and a PEmuch lower than its peers.3. Bottom breakout.Technically VERY BULLISH.4. Very high up potential andlow down risk.