Sentiment: Strong Buy
REITS enter into lease contracts with businesses that agree to certain terms.
One of those terms is periodic rent increases paid by the tenant.
All of ARCP's leases have terms providing for rent increases.
Over time thers rent increases will drop to the bottom line as FFO and the stock price will increase.
Sentiment: Strong Buy
It does look broken.
Sentiment: Strong Sell
You know that the price of silver will drop when the guy on TV says buy silver at a per ounce price of just $21.95.
And you also know the price of silver will drop when MONEX calls you to buy. I noticed that they never call when its time to sell.
Sentiment: Strong Sell
Just do a goo gle search for cramers track record.
Since 2000 he has only been right 47%.
Years ago, he bashed PETM and the stock tripled making a really nice return on my investment.
Listen to him? As he states it entertainment!
Follow his advice? Only if the stock is oversold and shows good prospects for a rally.
MU was being sold down so that a low ball price from a Chinese company would look good.
So INTC owns 1/4 of this Chinese company.
It is possible that INTC will now come forward with a higher bid.
MU and INTC have a joint venture project which MU has the right to buy, by a certain time and a certain price with 100% financing by INTC all interests in this joint venture.
Interesting turn of events.
If you were really smart you would be playing the options, but; maybe your just all talk.
You never posted a short trade today so I really doubt you were even in the market.
You got to post it to prove it. Post it when you make the trade.
You have got to go back further than 1 week.
MU back filled a .28 cent gap in its chart from 4/14/14.
It was the last remaining gap up that had to be adjudicated.
It is amazing how the Market Makers manipulate people like you.
Hope you went short !
I love free money.
And tell us why they would call the loans?
MU is an excellent company with positive cash flow.
You spend a lot of time dissing a stock that you claim you have no interest in.
Your motives are suspect and your comments add nothing.
At one time you did make some interesting comments.
Ever since you changed your ID it is as if you are a different person.
So what happened to cheetah779920?
Make a post in this thread and prove that you are the one and the same.
That is how the game is played!
I am glad to see that someone else has figured out the game!
Highlights from the analysis by TheStreet Ratings Team goes as follows:
MU's revenue growth has slightly outpaced the industry average of 0.7%. Since the same quarter one year prior, revenues slightly increased by 1.4%. Growth in the company's revenue appears to have helped boost the earnings per share.
The current debt-to-equity ratio, 0.54, is low and is below the industry average, implying that there has been successful management of debt levels. To add to this, MU has a quick ratio of 1.76, which demonstrates the ability of the company to cover short-term liquidity needs.
The return on equity has improved slightly when compared to the same quarter one year prior. This can be construed as a modest strength in the organization. Compared to other companies in the Semiconductors & Semiconductor Equipment industry and the overall market, MICRON TECHNOLOGY INC's return on equity significantly exceeds that of both the industry average and the S&P 500.
49.11% is the gross profit margin for MICRON TECHNOLOGY INC which we consider to be strong. It has increased from the same quarter the previous year. Along with this, the net profit margin of 22.41% is above that of the industry average.
It will be interesting.
If earnings turn out the way that I think they will; I believe we could see a close around $24.39. A lot can still happen between today and Friday. Be prepared to buy them back at a discount.
As I have said before; Call and Put option buyers lose money 90% of the time.
Please reread my post.
MU has been reporting fairly decent earnings.
I watch many companies and I have found that if earnings are a blockbuster those companies will tend to even report just before the market opens or during the day.
Other companies with sub par earnings will tend to report very late in the day or even on Friday after the close to minimize the reaction.
Because MU is reporting right after the market close on a Thursday, I believe that earnings will be as anticipated or better.