As anticipated, BRO will report its quarterly after close today.
Has the sp been adjusted to cater for the extent of 'doom and gloom'?
Will the future earnings be that bad?
Will we get a snipet of BRO's future direction?
Will the .003s' get taken out at open tomorrow?
OR
Will the report be better than expected?
Will the sp race to .007 tomorrow?
You'll just have to wait and see!