Okay. We have two good companies with a lot of debt. We have OMX with negative earnings and ODP with positive earnings but hundreds of million in debt. ODP says they have 1.6 billion in liquidity. So who is lying and which is the good investment?
I disagree with the outperform rating on OMX, but at 4 dollars range I love it.
ODP is a little different I am already in above 3, but I love it at low 2's for re-entry.
Now the question is. Will the holiday season bring up profits? Will unemployment go down? AND MOST IMPORTANTLY... will these companies SURVIVE?
These are the questions we need to talk about. Only intelligent responses PLEASE!