Originally Posted by
sanicom3205
I see the plan as:
-leverage everything
-hope UAL and DAL scale way back in order to preserve cash
-maintain the ability to spring on demand and take market share from two listed above when demand returns (betting on faster recovery)
-successful airline
The downside being, the recovery is extremely slow and we hemorrhage a bunch of cash, enter chapter 11 and restructure our debt.
This is what it looks like to me.