Don't fully understand SP drop.I am having trouble understanding the SP drop and I am looking for some insight from investors? I get the reason SP dropped after the dividend cut, but I was thinking that this would have just been a short lived and the SP would be trending up knowing that the dividend would more than likely be increased from here. In comparison with the CP or CIA and the price or ore in general, historically it looked like there was a good correlation between LIF and CIA and Ore spot price. I always thought that the dividend payout of LIF would have just potentially reduced the volatility of the SP in comparison with ore price. Any insight into this would be appreciated.
GLTAL