odyd

TerraForm Global (GLBL)

    258 posts in this topic

    On Thursdays SUNE rises 40% from morning's lows - after close its revealed SUNE"wins". Today, GLBL finishes an impressive rise of 50% from lows of Thursday - after close, full minimum quarterly dividend is announced. No coincidence, "they" had to know. Buckle up for GLBL rise for the rest of the week.

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    GLBL declared dividends

     

    http://finance.yahoo.com/news/terraform-global-inc-declares-fourth-221709916.html

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    It said "ts Board of Directors declared its 4Q 2015 dividend on the Company's Class A common stock of $0.275 per share. This represents a dividend of $1.10 per share on an annualized basis. The dividend is payable on March 17, 2016 to shareholders of record as of March 10, 2016."

    it also will announce Q4 close to March 30 "As a first-time filer, TerraForm Global’s annual Form 10-K report is required to be filed by March 30, 2016, and the Company expects to release its 4Q results closer to that date."

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    This is awesome!

    Congrats to all those who went in big at the bottom!  Perhaps one of the most legendary trades on the board!

    I will be happy to sit back and collect my dividends.

    This is good for TERP as well.

     

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    Yes, we have SUNE to thank.  Up another 13% AH.  It might surpass $4 tomorrow.  Even $4 is cheap.  At $4, this represents 27.5% dividend.  Too cheap!

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    This is awesome!

    Congrats to all those who went in big at the bottom!  Perhaps one of the most legendary trades on the board!

    I will be happy to sit back and collect my dividends.

    This is good for TERP as well.

     

    Great job,

    Now is SUNE going to play TERP so Tepper does not get dividend?

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    I sure hope not, but they seem to be dragging their feet.

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    Jumped another 17% to $3.70 AH by just announcing as very very expected that they will pay their prospectus stipulated minimum dividend rate.

    Up 75% from the load the truck low on Thursday. Thank you street and confused market.

     

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    Still just executing scheme, which led to that after my buy at $2.11 on Thursday (still irrationally happy about hitting bottom on the cent) I held 4.5 times more shares than my initial position that I took around $6. In the same way number of shares (but also to less extend $ exposure) will unwind back on the way up. The strategy works best if the stocks bounce around between major moves, which they tend to do. Note that the main purpose is risk minimization, not return maximization, but it still can offer decent returns, so risk/return properties of the scheme seems very attractive to me. I've given up the fun, rush days of loading truck at bottom and holding on to shares planning to "not sell a share until..". Now i settle with boring soild growth of the account. I'm thus not the guy for tactics tips anymore, since i focus on strategy trading scheme and don't make much tactical trading decisions anymore.

     

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