I cannot remember the last time ACAS did not meet street estimates, let alone miss them by a significant amount. So with that in mind holders will get to witness something they haven't observed with this stock in quite some time. How the SP will react to a quarter with adverse earnings. Will the growth in NAV this quarter cancel out the SP reaction to the drop in earnings, allowing the share price to recover in short order? I have to think that the guidance given in tomorrow's CC is huge.