RE:TomorrowHi Sarge - like you I dont care what happens tomorrow because I initiated long position in Nov at yield in excess of over 9%
However , my view is that market is not going to take $1.6 billion impairment loss positively because it impacts future cash flow potential and its ability to grow dividends. Many investors will have concerns around growth and from where it is going to come from. Management issued NR at the same time it released financial report suggests to me they expect -ve market reaction and are trying to minimize it.
I hope I am wrong and you are right . .we will figure out it tomorrow:)