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At the end of 2015, $CMG's cash and cash equivalents were $248MM. For the year ended December 31, 2015, $CMG had net cash provided by operating activities of $683.3MM. Net cash used in investing activities was $464.1MM and net cash used in financing activities was $386.4MM.
$CRM on the pop today.. big bubble.
Slumping and down the drain... $HDSN. Flush out your holdings !
$KITE I am loving this one... really flying like a kite today :-)
$AGIO plunge 15%.. what's happening... is this going for a toss !