With a substantial profit in this pick of ours, I'm wondering how investors are feeling about the longer term benefits of holding fast to our LADR positions? There are legislative moves afoot sure to impact negatively on this particular holding as presented by SA. It is apparent to me that there'll be no remorse shown by vultures moving for a quick exit.
This legislation, if enacted, extinguishes any possible confidence a shareholder might feel when it comes to DCF and consequent yield driven consideration thanks to coverage.
Your thoughts, shareholders?