Can someone please read this article and give your thoughts pertaining to it?
Since we've been discussing company financials this week and how the majority of them seem to be doing well, I just got this article today from CFO.com which discusses how companies are not only holding onto more cash, but they're also able to increase their capital expenditures. All of this seems to be good news for the economy, though a cautious approach needs to be taken. Thoughts?