Stock price when the opinion was issued
He bought more when it fell because it was massively discounted. Also, management gave very poor guidance about what was happening to a lot of their businesses. Feels their core businesses really has good opportunities on the FinTech side, in the US specifically, and the stock can slowly go up. Pays a decent yield.
(A Top Pick June 18/15. Down 19.7%.) Had thought you could get paid a really good dividend with a low payout ratio and be investing in US banks and FINTECH. That is a very important area for investors to get into. Thinks the downside has been way over exaggerated on this. A Short seller had scared everybody, but that was discredited. Thinks value will surface as growth returns to US lending. Still a Hold.