It's a funny position we find ourselves in. The vast majority of discussion here is positive on the direction of the company and by and large it feels Brookside is undervalued by the market.
Why? In summary from what I've read here oilers are on the nose, fossil fuel is on the nose, management have a poor track record of performance, attitude and screwing over shareholders.
Then just as you think sentiment is changing, you get the board showering themselves in free money for non benchmarked performance because current remuneration doesn't meet the market rates. Which MD's of which companies did you compare?
I think the company is on the right path, maybe wait until that's proven then seek bonuses.
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