My hands are sweating, want to take profit, but afraid.
While I like to think that the bad sub numbers are not going to effect the PPS after the 2nd quarter CC, I dont know and ether do you. There are going to be two factors the bad sub numbers and the FCF/EBITDA numbers. I would like to think the FCF/EBITDA number will out weigh the bad sub number but that is to hard to call at this point. The other factor to consider is how long are investors willing to take a chance and wait for the 3rd and 4th quarter numbers. Basically are they going to be afraid to sell because of the 3rd and 4th quarters are so close and will yield a higher return if they wait or do they take that money somewhere else after the gain they just got. and wait a month or two before getting back in.
i think the bollinger bands just crossed!
looks like some profiting is taking place![]()
we came back down into the .46 range for a second and looked retracey...but then right back up again..nice