I can't find a reason for the continued volotility in this stock. There are no rumors re the dividend that I can discover. No insider activity and nothing on the web site that would provide speculative activity. The REIT world is improving, the leverage has not changed. Do not understand. Have some major exposure (for me) @9,300 shares. Anyone have any insight? I am going to contine to hold unless I can find some facts that lead me to believe NAV or dividend are at risk!
I checked the holdings on the Cohen and Steers website and was perfectly happy with the top ten. Printed the entire holdings for perusal and ideas to buy individual reits and preferreds. I'm buying on dips.