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STO Well positioned, page-380

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    Just seems like risk on and $ are flowing back to oil and gas companies as funds are realising that because they have been so undervalued there is good % rise and value in them along with cash flow even if ecconomy slows as it is simply too expensive to bring on new supply so existing supply is at a premium.

    Dividends- well not sure there will be a large change. The policy is there and not sure much franking will be avaliable and realistically $ are better at getting a IRR so maybe a furthe rbuyback again or simply pay down debt more agressively along with bring forward projects eb=ven at a higher initial cost to get them online
 
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