Once we get the financial data in the market this will cement the company's real value to large investors.
If we play with the potential numbers, our PE ratio looks like a bargain.
Taking a possible A$400M Net income (use whatever you want, I roughly extrapoloated from the gross figures above to get a feel)
Our EPS of 10.2B shares is 0.04 (a byproduct of our large SOI)
However this would make our PE a ratio of 3.19, which is very low and will light up on screeners.
Play with the numbers and see what you get but value is written all over this.
We just need the actual figures to calculate what the market will actually be seeing.
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