Ok.. so many agree the strategy of continuing of dividend re-investment. I have two questions;
1.) for the past three years, management and institutions have not really doing any reinvestments as a whole, 13F, 2020-3Q, total 824,337,410 ownership, 2022-0315, 13F 793,502,200 ownership. No they are not buying.
2.) 6 months ago, none of any shareholders are happy when comparing to SPY or Cable or QQQ, but at least quite a few were happy. Why? just because other sucks and LUMN is not worse. That is a sad comparison. Even as today, LUMN is not doing better than SPY just for the past two years comparison. Of course, 5 years is a total loser, investors lost even more money on their dividend re-investment strategy.
But I am only question about numbers, not really so much about stock performance. And the numbers have not improved. In fact, it is getting worse.
And that is still not the point, the point is does anyone have any numbers for the next three years to dispute MS's numbers? And how and why?