hard to say because the NTA should be higher, but mathematically it will be 0.006 based off 0.014 SP and reduction of 0.008.
if they continue to cut costs, make profits and declare dividends on those profits then it should go higher.
if they sell their assets at a premium it should go higher, next week is the last chance for the director to still get a bonus off a sale.
obviously the both situations are just theoretical but very plausible hence why im in.
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