So NP is expected at lower end of projected number. That's still 390 mill and MC is 3.55 bill giving it a PE of 9 and dividend 9.5c + 9.5 or more whow knows so divvy say 3.5% ff. What's not to like at the current price?
For those who want to sack management let's see you do better in this current climate and annuity sales are kicking butt not to mention the huge increase in FUM.
Shorts gave an opportunity for many to reinvest.
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