Why wasn't the impact of Classic included in the presentation, not sure why they are underplaying earnings.
My long term view is that this stock has at least 36% EPS growth and that under a takeover it should get a big re-rate, lets assume 13x (below COG and Scot Pac t/o multiples), this equates 83cps (6.4 * 13). I would be happy to sell at around this price, not $0.48. Nor do I want to own a stock with a broker network, CAL, AMP, IOF and Dover are examples companies with broker networks.
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