I made 2 factual statements.
1. Gold and other commodities up in past month,significantly.
2.Good positive releases on PRB,but SP down 25 % since Nov29/10
Maybe you fellows want to check my math.
I surely do not expect ANY STOCK to go up without some pullbacks ,but 25 % is a bit much ,IMO.
I sense we may be getting an" average down" and then bang,we get a lowball buyout offer,just like we did on FWR and SPQ. Thus is a risk I feel we face here.
Have a good day.