lol at 2nd grader analysis. Has anyone considered the impact QE and low rates has on risky asset classes specifically when the volume of cash held by money managers is at an all time high. Save my post and let’s see where the stock prices are in 12 months. INB4 S&P up to 3500 and ASX200 up to 7000.
FLT adjusted for equity raise, sure double the stock, but adjust for $900m cash injection, and in reality, if you discount profit to $0 for FY21 and do a DCF it works out to a half standard deviation range of $22-26. Lol at anyone who is too scared to enter the market.
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