Has anyone here done any analysis on $DDR. My reason for asking is that I cannot get my head around some issues.
These include:
1. The company appears unable to convert EPS to cash.
2. The company has a lot of debt and is highly geared. Is the dividend payout ratio too high?
3. The days of sales outstanding is high but when I looked at Data 3 they were similar so it is probably the nature of that industry. But that raises the question do they have an elevated risk due to the customer's insolvency?
If anyone has any insight I would appreciate your sharing. The large quantity of money owing to them combined the high debt, low margins and low cash conversion ratio does not give the company much of a safety margin. Or is the debtor risk mainly carried by the vendors and DDR are the warehouse operator on an agency basis.
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Has anyone here done any analysis on $DDR. My reason for asking...
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