Could holders please advise how much the risk factor for Turkey influenced their buying decision ?
I like the IPM story , very few shares on issue, steady income from oil and gas, cash in the bank ....etc....
BUT .. Turkey ?? I don't know .. terrorists blowing up pipes , politics sometimes unstable ??
I hold COE and CVN Thailand also small sov risk but I was more comfortable with that part of the world.
I am looking for 1 more oiler to add to the above ...
Thanks for any comments
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how would you rate the risk
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