I am one of the most irate investors when it comes to issuing management options or performance shares which are listed at IPO and have few barriers if any to achievement. But these options being issues to the CEO are an absolute no brainer!!!
Here are the numbers I have worked out:
So to put this into perspective unless someone can prove my maths wrong... If Klaus manages to get us investors 16.275% compound growth for the next 5 years... his options are worth ZERO!!!!!
If he pulls a rabbit out of the bag and manages to get 25% return, his total return for 5 years is around 222k!
Would see it very hard pressed for any investor to knock back these options at the AGM! lets hope the share price can get closer to IPO by 2022.
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