The current b/b is basically a b/b for ants
Unless they plan to pay down debt to basically 0, only remaining options are acquisitions (hope not, SWM is a boomer business and should be staying away from “cool”/VC rubbish) or dividends?
So unless they keep hoarding cash something surely hasto give at the next results announcement?
Edit: I’m not trying to troll/s***post, as I’m interested in this one but am hesitating a bit on the cap allocation philosophy
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67 | 1425579 | 0.170 |
6 | 453012 | 0.165 |
12 | 650174 | 0.160 |
9 | 633290 | 0.155 |
Price($) | Vol. | No. |
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