This a pretty simple one to work out - you simply have to take a view on the pro forma EBIT margin management will get out of the 3 divisions to work out if the stock's fairly priced or cheap.
- Pro forma SOI of 423m * price = PF market cap of $51m. $4m PF net debt gives PF EV of $54m.
- Pro forma management forecast revenue of $500m.
- Plug in your assumed PF EBIT margin. History suggests the contracting business will do anything from 0% (2014 estimate, after adding back impairments and goodwill writedowns, and allocating corporate overhead) to 6%, the building division will do something between 1% (2013 adj. number) and 5% (2009-2010 figures), and the maintenance division will do something between 2% (2013 adj. number) and 5% (2012).
If you think the sustainable EBIT margin in aggregate for this business is north of 3% (and take the $500m revenue forecast as a given, which it should be given the predictable nature of the business' revenues), the stock's trading on a PF15 P/E of about 5x (assumes $1m PF interest costs and 30% tax) or better, which is cheap even for a business of this quality (i.e. low). A 5% forecast EBIT margin generates a PF P/E of roughly 3x, which is screaming cheap; on the counter, a 1.5% EBIT margin (i.e. you think the business is doomed and won't recover despite management's turnaround strategy) produces a P/E of about 11x, which isn't cheap.
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Last
8.9¢ |
Change
0.008(9.88%) |
Mkt cap ! $6.701M |
Open | High | Low | Value | Volume |
8.1¢ | 9.0¢ | 8.1¢ | $13.42K | 154.9K |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
1 | 136129 | 8.8¢ |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
9.0¢ | 1100 | 1 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
1 | 136129 | 0.088 |
1 | 13972 | 0.086 |
1 | 100000 | 0.082 |
1 | 6197 | 0.081 |
2 | 257000 | 0.080 |
Price($) | Vol. | No. |
---|---|---|
0.090 | 1100 | 1 |
0.094 | 23452 | 2 |
0.100 | 33050 | 2 |
0.105 | 9520 | 1 |
0.115 | 2250 | 1 |
Last trade - 15.40pm 20/06/2025 (20 minute delay) ? |
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