Why I've more than tripled my position in the last week
1) Fundamentals - NTA - 50c a share, down from 60+ still shows a massive discount >50%. If the company went into receivership tomorrow, we would come out with about 40c per share after costs.
2) Fundamentals - Earnings - 4.6c, based on P/E, this is <5. The earnings are not taking any hits from revaluations, Instead, there is a 30% forcast in earnings growth for next years rental returns.
3) Potential Takeover Target - Even from the NTA standpoint above, it would be worth buying this company just for the asset sale value. Sell at a 10% discount and still come out on top.
Risks
1) Further Writedowns - Possible, but I have mroe confidence after listening to the Annual Report Webcast, and their conservative approach to the revaluations.
2) Dilutive Cap Raising - Possible, but their balance sheet is already quite healthy, and they are winding down the ADF to improve, not expand.
3) Poor Management Decisions causes more thrown away cash - This one has a higher probability, however simplification of the business makes it harder for fools to mismanage.
Buy companies that a fool can run, because oneday one will (APZ)
For me, this is a pure value play.
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APZ
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!
$4.33

why im stockpiling.
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Last
$4.33 |
Change
-0.040(0.92%) |
Mkt cap ! $985.7M |
Open | High | Low | Value | Volume |
$4.38 | $4.40 | $4.31 | $1.390M | 320.2K |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
1 | 126 | $4.31 |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
$4.37 | 2339 | 1 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
1 | 126 | 4.310 |
1 | 150 | 4.300 |
1 | 2000 | 4.280 |
1 | 1000 | 4.250 |
2 | 410 | 4.200 |
Price($) | Vol. | No. |
---|---|---|
4.370 | 2339 | 1 |
4.380 | 5000 | 1 |
4.400 | 10000 | 1 |
4.450 | 2994 | 2 |
4.490 | 1113 | 1 |
Last trade - 16.11pm 10/09/2025 (20 minute delay) ? |
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