Let's not worry about 2 years time for now. Dow finished in the green but just. It sure was a volatile day, a big "V" shape, and most of the news that cover Centro, have suggested that Centro is not an investment grade product. No dividend until 2016. We are also expecting Feb ann. would be bad.
Any takes on guessing what Monday would be like?
I am thinking we'd lucky to close at $0.095, please give me a reason why she should be green on Monday apart from the Dow?
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