CF.A /c What`s going on? I stupidly bought into the cf.c issue at 25. Getting kind of worried here, UK posted good econ. perf today better than expected, I`m guessing CF`s fortunes now tightly tied to UK.
the yields on the pref in the low to mid 7s.
Is this a situation for CF that it gets worse before it gets better? Comments please
Tinking of buying more prefs but risk is a concern