The fact that volume is considerably up the past 8 trading sessions seems to indicate a shift in sentiment.
Yeah but what about this....I just checked pre market and SD has a .2 cent bump on the cumulative volume of.....15 shares: Bwwwwwaaaaaaaaaaaaaaaaaa! LMMFAO!
I don't agree yet, because the Beta continues to drop, volume is up 6 of the past 7 sessions, and there's solid positive information that's eating into the short position. Short positions are reported every 15 days?
The CSA ceded that succession was unsuccessful.
What is it that the US is going to embargo? And why would any US embargo effect NG prices in Europe since the Russians supply the overwhelming balance of NG in Europe? The Europeans aren't very likely to take any actions that would result in Russia withholding those supplies. jmo
I reopened a small position today at 8.26, and may have acted a little impulsively, not necessarily because of revenues and guidance, but because of the unsustainable dividend payout ratio.
I might be getting ahead of myself, but after watching the pps movements this week, I'm inclined to modify my earlier guess about $7 in a month, to $7+ next week.