OTCPK:MAUXF - Post by User
Comment by
takingthemonon Oct 04, 2013 10:07am
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Post# 21790786
RE:RE:HOLD ON
RE:RE:HOLD ONYou are very funny. If you look through my old postings my average in this one name is 8/9 calls on the right side. If you where on my email list you would see that I have traded this name so many times in 2013. As for the expenses. Of course bunkering oil comes off the top you dummy. Barrels lost comes out of every shares pocket. When a oil company proves up reserves and people are trying to determine what a company's value is and cash flows will be this makes it very hard to figure out. Example..is the comp[any going to recoup the expenditures within a certain time frame...return on equity using many metrics....so on and so. When they have oil being stolen the numbers for projecting get thrown out the window. As to the company having to be shut in for many weeks this year TO DATE that could not be forecasted in anyone's numbers. For the company to say we have had a major increase in oil losses and its going up.....another circumstance that hinders forecasting. When we look at what the company owes for previous obligations of repayment of barrels...When will this take place???? The company has drawn down of the line of credit and is hinting it may need more for operations and so on.....Just look at the numbers..
Put all of that together and lets be honest. Small investors do not really move stocks. Institutions move stocks. I have herd a few people on BNN and others referring to Mart as a "wait and see" weighing the current risks as just to high at the moment. You can depute my logic but not my facts. I have posted on the shut down before Wade had a press release...I receive my information from a few sources and one is from a local person down there and the other is a local paper I correspond with. Current payout ratio is above 100%. This is not going to last forever...just do the math. Mart has forecasted earnings for 2013 and they will not make it. Too many shut in days and the theft is rising... Detailed Quote
Open | 1.24 | Prev Close | 1.22 |
High | 1.24 | 52 Wk High | (02/19/13) 2.31 |
Low | 1.23 | 52 Wk Low | (09/18/13) 1.15 |
Dividend | 0.20 | Payout Ratio | 229.97 |
Yield | 16.39 | Beta | 1.23 |
Ex Div Date | 09/16/2013 | EBITDA | 89 M |
Payable Date | 10/02/2013 | Shs Outstanding | 356 M |
EPS | 0.105 | Market Cap | 435 M |
P/E Ratio | 11.09 | Avg Volume | 875.2 K |
50 Day Mov. Avg. | 1.42 | 200 Day Mov. Avg. | 1.62 |
50 Day Avg. Vol. | 981.8 K | 200 Day Avg. Vol. | 873.5 K |
Industry | Energy |
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