fair enough. Although that’s the reason I like REP. The massive delta between SP and NAV looks like the downside risks are already pretty well priced in (when compared to other similar REITS). This isn’t the right place for a further discussion on the subject so I’ll leave it there. Cheers.
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10 | 10078 | 6.630 |
19 | 66765 | 6.620 |
23 | 35317 | 6.610 |
Price($) | Vol. | No. |
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6.670 | 25000 | 5 |
6.680 | 33637 | 7 |
6.690 | 51287 | 5 |
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6.710 | 56808 | 2 |
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