Ann: Update - Notification of buy-back - SVR, page-17

  1. 6,453 Posts.
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    PE and yield are both trading as if this is a fairly high-risk play. EPS guidance is around 16.2c normalised which is a forward PE of around 7.7 and if we assume a flat payout ratio annual div would be around 12c fully franked which is a net yield of 9.7% and gross yield of 13.8%!

    These numbers would imply the market sees a significant risk around future earnings. I know there is ongoing legal action but I suspect they'll get through that with a fairly modest fine, at any rate it should be a one off hit. Then with interest rates coming down I'm at a loss to explain why it's trading at this valuation?
 
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(20min delay)
Last
$1.59
Change
-0.040(2.45%)
Mkt cap ! $314.2M
Open High Low Value Volume
$1.63 $1.63 $1.59 $60.83K 37.99K

Buyers (Bids)

No. Vol. Price($)
5 6456 $1.58
 

Sellers (Offers)

Price($) Vol. No.
$1.60 3088 3
View Market Depth
Last trade - 10.55am 23/06/2025 (20 minute delay) ?
SVR (ASX) Chart
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