A few problems exist. Churn, Lower margins, Cable cutting, lower revenues from pricing wars, dividend payouts, massive increase in debt load and obviously cash flow much lower.
I’m only flipping this for now. Some of The decisions I am aware of keep me from being “long” (for now).
These are great prices I’ll admit but I’m buying the dips and profit taking over and over.
My AT&T trades have this position up 12.5% ytd.
Seems to be working