I like to self-flagellate for buying $C in 2007 because $C’s dividend in 2007 was something like 0.05% higher than $BAC.
I like to self-flagellate for buying $C in 2007 because $C’s dividend in 2007 was something like 0.05% higher than $BAC.
Where the hell is congress?
Where the hell is congress?
Do they both report it as a separate metric or how do you calculate it?
Just curious.
Do they both report it as a separate metric or how do you calculate it?
Just curious.
I always love a Bryce Drew reference!
I always love a Bryce Drew reference!