RE:RE:RE:RE:RE:RE:George Fink making more public market purchases this is the only strategy that makes any sense................. now I doubt they would wait until the yield is that low, but in principle the probability of any divii is rise in oil prices is just a no go from the start.........................................................
teekae wrote: When they're trading at a 3-4% yield then they'll raise the div. Until then theres no point. Pay down debt and or repurchase shares with any excess cf