whispers of a joint end to the war, shorts reducing, but, wait, the Mail and the FT are suddenly shaming the holding of (possibly 10 bagger) Russian stocks ................. hmmmmmmmmmm
Jet7 - wait until you watch this .... Oliver Stone's 2014 doc with Putin interview "Color Revolution - Ukraine on Fire (2016)- 2014 Maidan Massacre" https://www.*****ute.com/video/W2pC7um2s6Ww/
They could have lowered the DIV as a cautionary move. Still think it’s deferred into ‘special’ status. But also wonder if there is an huge acquisition angle if a solution in Ukraine is on the horizon.
Then they have to account for the DIV if they do not close today. Normally that is a risk, but given the size of payout here it could be potentially bank breaking.