best stat from the call is cash flow from companies they invested in is 3x the interest expense they paying. in other words 3x coverage/cushion to their portfolio.at 10% discount to NAV and 10% plus yield think have to own
What language are you trying to speak?Take whatever little money you have left and buy a hooked on phonics program.
in other words the fear factor allows them to get better deals and the have the dry powder to do that.Say what?
Why are you such an a**hole dude?