V_H, no the debt was unchanged from June, I think it effects the EBITDA (reduces) because it wasn't received. I think the EBITDA is 12 mths moving result so the thing to watch looks to be the difference between last years qtr and this year. Because June was ok I think it means the Sept 15 qtr was worse than Sept 14 qtr which does looks odd as last year qtr had net loss of $11m and this year was $2.1m before add backs. Gets a bit confusing which explains all my imo's
Buc, I'm sure the other assets have some value so worth considering but not something I have looked at so can't add much other than NS and related numbers sorry.
Bw
SSN Price at posting:
0.5¢ Sentiment: Hold Disclosure: Held