Sell. Why? 1. The said capex would decrease, it went up 2. They said net debt out reduce, it went up 3. They said profit would increase by double digit, it decreased double digit 4. They capitalized $9m, made reported EBITDA of $13.5m, so real EBITDA was $4.5m 5. They lost a big contract in WA recently which will make points 2-4 even worse in FY20
EPD Price at posting:
26.5¢ Sentiment: Sell Disclosure: Not Held