The 150-day ma tells me all I need to know.....this stock bounced smartly off at 38.65 two days ago.
Sentiment: Strong Buy
All it says in my Scottrade account is CFP## with no bid or ask
Investment income increased 23 percent. NAV $7.10.... good earnings as far as I can see. What's not to like?
Makes no sense.....divi declared for the next four months - a good omen for tonight's ER.
If there is any bad news in the ER it's baked into the price now - why sell now?