Here is my call. I am very long this stock. The ups and downs are violent but expected. I am predicting that management has under promised and will over deliver from a production and liquids standpoint. Expect to see some non-core asset dispositions. The liquids percentage will go materially higher if Pou focuses on the right wells and abandons or sells the other areas. May go down further short term but will get to $14 year end.
I am never happy to see a violent drop. Never. But this is where you load up for the next leg higher.