its been the one that hasnt gone up like the others as it it did its rights issue at the time the LP started to run.
So its playing catch up
Its on its way to 50c.
IMO its one of the best of a speculative bunch and has not rebounded the same in price:
debt is 29.7% comp to 49% covenant, compared to total assets, 5x, nil intangibles
kirsh (big brother)
cap rate at 9.3, wont touch covenants
no value on 1bn fum
distributions easily covered by operating earnings
interest cover 3.4x, net rent 73m covers 17m int
refinace risk minnimal
undervalued and relatively safe, i will sell around 60c and collect a nice divvy on the way
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