RE:RE:RE:Ni dipped below $12 during today's session I appreciate many of your points (honestly...like the co does a horrible job of relaying to the Analysts and investors about all things S), but why are you "in deep" on S when you clearly don't understand their finanical reporting, their cash flow through the org chart (which is complicated) or their debt obligations (which are key to what has been going on the past three quarters)? What makes you position "in deep" on this thing without that understanding? Is it a macro call on Ni? Seriously, I would like to know why you are "in deep" because it would save at least a few of us a ton of work. I would remind you that as they build out the new PP+E, the D+A will rise and although cash flow and FCF may increase substantially, much of what you are waiting for (Net Income/Profit) will be eroded as D+A (non-cash expense) reduces it. But FCF should skyrocket.