To Me it is about the trend, and the trend is those number getting worse or better (Sequentially), because if they are getting better and take tons of provisions and still earning .22 then better then .22 is a coming with the growth in there portfolio. That what I care about.
Q4 14 6.87% Q1 14 6.33% Q2 14 6.21%
Clearly the trend is getting better.
If q3 dare I say goes under 6% I'm gonna be a happy camper if eps is .25 and they show good top line growth with a good outlook. I question why this director has brought almost 91k shares after the quarter, if this quarter wasn't going to be good. All is just my opinion, and I could always be wrong though.
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