OTCPK:MAUXF - Post by User
Comment by
pipsqueak3on May 28, 2013 11:55am
241 Views
Post# 21450176
RE: RE: RE: RE: UMU10
RE: RE: RE: RE: UMU10 Well said Zeus, Pete, 911.. A couple sessions ago when SP fell intra to 1.32 and recovered to 1.47 this board perceived the cause to be due to earnings surprise... people were surprised SP could drop when price already supposedly discounted Q1E. Perhaps they were right about the discount, but wrong about the cause. Smart money may have used Q1E as a decoy amidst the true inside fact that the divy may not be intact (imo not sustainable) in future quarters... if it is connected with loan requirements that is a giant red flag.
However, as 911 eluded, short term pain long term gain.. My opinion is Mart was running a high risk div policy - borderline unsustainable but highly attractive. Anyways, that's all bias and speculation to me that I can't let intact my viewpoint. I'm only here to trade this, but your comments are all very intriguing with respect to near-midterm directional bias; I am on the fence whether to take a bullish or bearish view near term, it appears this divy is the cause of a lot of worry. Long term firmly bullish..