We are about meeting some challenge on Friday.
DXY is moving into unfavorable zone to XOM.
fresh cash dividend is coming. I hate short term gains even if I have to wait for a year. The tax codes are not fair.
Because Microsoft did poorly in China. Nokia has had two distinct phases in China. Out of the old phase, now you can see how Nokia will be phased out from there. Elop is the problem. There is no doubt about that.
I am not going to take advantage on the price, maybe later on the 3.06 of S1 and lower.
but there is no lack of argument outside. no news is good news. no discussion is required as long as we are able to collect rent. happy holding.
who are the most significant shareholders, GS?
who will air the Ad, VZ, T or NOK?
maybe Google can develop Google voice for future legs up.
how is your 100 shares working so far
my DD shows 3.50 is possible and will be available, again.
Low end was Nokia's strategy, but Elop disrupted it for a while until got warning from credit rating agencies. this guy is full of it.
the past winter wasn't so bad, but dry. this spring is also dry. this summer could be dry as well.
not sure why you have to post today when Nokia is down? Does it make you feel bad? Are you allergic to bad news? Nokia's fundamental is nothing but a bunch of free phones. The rest is on shareholders' tab. So, shareholders are the fundamentals. I bet a whole farm this is news to you.
let me save it and hold it to the shareholders' meeting to kick some #$%$ off.
to make between cash to buy growth and gold to buy liquidity in traditional gold-liquidity relation. We should have recognized this relation even if we have passed it long time ago with new financial instrument. if liquidity is not a problem, why shall we worry about availability of gold? get it?
who said silver is the label for a 2nd place again?
you could have said Math hasn't make you bankrupted while English hasn't make you a billionaire either. What happens if you take both?