Moody's Investors Service recently released a report on General Electric Company (NYSE:GE) highlighting
the elevated near-term risk in GE's investment programs. To be clear,
the report also outlined that the investments should leave GE "well
positioned" in the long run, but I want to focus on the near-term
issues.
What were the reasons behind the elevated risks discussed? And what are investors to make of them?
READ THE FULL EQUITY RESEARCH ARTICLE LINKED
What were the reasons behind the elevated risks discussed? And what are investors to make of them?
READ THE FULL EQUITY RESEARCH ARTICLE LINKED
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