Opportunity Knocks!
What is up with this divergence? Is CSCO really that poor of a earnings performer? Is there some risk the market sees, that is not obvious to me? Needless to say, I think you should take a look at this charts.

Longer term, this is a three year chart makes the argument better.

CSCO represents a 10-20 percent premium over market returns in the next 12 months.

Longer term, this is a three year chart makes the argument better.

CSCO represents a 10-20 percent premium over market returns in the next 12 months.

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