Approx. 19 trading days (or less) left until the q1 results are released (Oct 30th)
(Long term holder here)
Do we have any charted accountants or full time number savy LT investors here?
I would like to chat about my spreadsheet numbers and either get told that;
- I'm totaly way off
- I've forgotten something
- Needs a slight adjustment
- Yep that's about right.
The columns I've got right now is basicly this:
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 Column 9 1 # of shares on issue: Options Performance rights total on issue PE Ratio Earnings Market Cap EPS Share Value
p.s. what is everyone using as the forward looking P/E ratio?
- Currently the XSJ Consumer Staples sector P/E ratio ranges from 8 all the way upto 29.
Would you say 8 is as bare minimum, or based on your experience do you have a well refined equation for a small caps P/E ratio that is different?
Please respect my decision not to publicly share my numbers as I don't want to mis-guide anyone's investment decision making with possible incorrect data.
Ofcourse this is not financial advice, I'm a carpenter, not a financial adviser, nor a qualified anything else. Please DYOR.
Thanks in advance,
Joel.
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