there are lots of risks,however the underlying portfolio and strategy to exit as a mainly aus based asset fund is sound,we are all in unchartered waters here the economic theory of quantitative easing throughout the developed world is probably a strategy to prevent huge disparity with developing nations and underdeveloped nations thus allowing the big boys to shoulder the big share of the burden and let the world continue trading to acheive the goal,it will all take time,the wonderful word "potential" makes this very enticing to re enter.
i have previously held mof,same business different name,the dividends alone make it very attractive with the possibility of dividend growth in an A grade office reit
CQO Price at posting:
$2.83 Sentiment: None Disclosure: Held