So I'm about to start my second billing cycle and I have received one credit for one of my trade-ins. There's still one more that's pending. They were both packed and shipped the same and I can't find out any information about it. I'm concerned because I'm counting on that extra account credit to be available by the 25th of March, but most importantly because I'm afraid I will be disqualified for the ETF rebate! I've been checking the RMA for two months now! Anybody have any answers? Ideas? Information? I'm very concerned! Thanks!
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