Going through the results the major items are the net assets decreased by $97.5mill,basically they are reducing $100mill every 6 months.Borrowings increased by $30.9mill.Not a very good result with the deterioration of Europe.Its a bit of a knife edge scenario now do you stick with the existing or go with Price?The question is what assets can they sell for a quick buck anyone know?If they can't sell assets are they going to do a rights issue?Cross your fingers?
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