How does one spud wells in April and then bring them on line 10 months later, and thats only if they keep to their new mid Feb. projections, and we know how that goes. I didn't even know that was possible? ( bad weather or not. )
EF starting to payoff, but at 18 and 25%, they better be aggressively marketing those non core assets to help control cost in the Bakken.
I've read that Bob Watson has been very agressive towards investors/analysts on quarterly calls? Can someone confirm this? If true, I pray the Clinton Group is on the call....that'll be fun to hear.
BTW, I added another 500 shares today...so I'll take a buyout $5.