Sell @ $3.96, $3.97
Conra off and sold an earlier batch at a loss (Profit after Div). Yet another of my target for Yield Rotation Strategy that didn't work out well before it went xd. As the Quarterly EPS was better y-o-y, I had added more after xd and further price weakness. This can form another criteria when deciding on target stock for the Yield Rotation Strategy ie. Better EPS, in cases where prices drops, this provides better comfort to add more and potentially for longer term hold.
As the PE is quite ok for me, I may add back on price weakness. 😀
