look at the bright side - any sharp reduction in dividends at previous highs would have been catastrophic to the sp... but we are at 1800 now, so ANY / EVERY negatives are already factored in...
......and if Twiggy wants to really shake things up, he can go a "bit" generous on the dividend this time and see the sp bounce up to low 20s in a hurry...
so dividend will be a "non event" this time IF it is at par or even a few % below par... and with the upside of a nice 20-25% run up should it surprise us all with a few % above expectations...
I don't mind holding for now, risk is limited (of course some more $1 billion sell pops up like the last 2 time)
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