At bottom end of revised guidance, top end of all costs and assumed $75 oil price I have the impact being about A$85m. Remembering this is a 1 year impact and not ongoing.
If you assume EV of current MC + Debt of A$1.8bn (ignoring cash on hand). It means we are trading about 2.54x instead of 2.42x.
As long as this doesn't become a precedent we go from cheap to uh still cheap AIMO
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