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Re: eZ3 post# 2310

Sunday, 05/27/2012 7:39:20 PM

Sunday, May 27, 2012 7:39:20 PM

Post# of 4306
I've given some examples in the past as to where the PPS should shoot to and why. I have an avg of $2.05 per share and not worried at all. I bought, went on hold and moved on but I'm going long-term on this one. I won't be selling any shares under $3.00 per share and my planned holding period is through Q4. On another note, be careful what information you get on these boards especially from people that claim to follow technicals without understanding what they represent and how they are analyzed. I bought on fundamentals here not on technicals as I am a value investors and value investors usually buy when technicals are bad not good, given of course the fundamentals haven't changed.

However, to make the story short on CLWR, the main reason to buy and hold is because they have a comparative advantage in the telecomm sector and that is the amount and quality of their spectrum which is currently unmatched even by large corps such as Verizon and AT&T. Yes it is true they have not yet been profitable since their late 2007 IPO but they have yet to fully realize their business plan. Come mid 2013 that plan will be realized and they will be an net positive earnings co. Keep in mind that the market invest in advance between 3mo for institutional traders to 1 yr for value investors during the recent business cycles. I'm super busy but if you ask specific short questions throughout the week I can provide better details. Good luck.

CLWR