I think the biggest risk is the forecast EPS. A large increase...

  1. 2,062 Posts.
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    I think the biggest risk is the forecast EPS. A large increase in EPS is forecast for FY24 by the management for. But what if this does not come to fruition?
    Also need to keep in mind that the management guidance numbers for FY24 were based on the prevailing USD strength at the time of the announcement. The US dollar has been in a steady up trend since the announcement. If this strength persists and all else remains equal the company would have to lower guidance for FY24.

    The other thing which is mostly speculative is that the first downgrade by companies is often followed by more downgrades
 
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