4th qtr adjusted ebitda was 180 MM$ thats 0.72/sh and they are paying only 0.10/sh. they keep 150 MM$ to reduce debt. it is a great way to manage debt of a company
what a baseless argument ... if that is the case then how come a 500K average volume stock end up going down more then 45% over 43 million, which is 86x its average volume in one day ....
After the 45% drop it is definitely a good idea to start accumulating (small lots) at these levels.
PWE doing same thing. It will take awhile but both will get there in 2 years.
Panic today all big boy making good money, they still have enough money to buy as deep including me.
about 426K in AH. Fund data show 270M held by the pros prior to today. 44M volume for the day. JMO more downside tomorrow. Previous short position was only 2M