RE: RE: RE: RE: my analysis FWIWI'm not sure more exposure would benefit shareholders as the manager of the fund will try to keep the shareprice pretty close to the NAV.
love the massive divs. the only thing I am concerned about is how much of the pop we will catch if the market if the market bounces strong off of a reall depressed level. I'm guess enough to make it worth while, add the div and I think we have a winner here.