we all know the headwinds who been invested in coal sector for last 5 years..
My question is what will make us even survive first before we think about anything else.
I had bought with avg of 5.5 and fully knowing the fact that they have no payments until almost 2018 and then have good enough balance sheet considering it has nearly 1B cash - Sure it has debt of 4.5-5B too but then all commodity companies usually do..
what are the chances of we getting out of woods to begin with??