What don't you guys like?
I have JPM forecasting:
Revs 218.5 vs actual 226.8
Statutory EBITDA (inc SGARA) 44.8 vs actual 49.9
Operating EBITDA 39.9 vs actual 41.3
Statutory NPAT 23 vs actual 25.3
Operating NPAT 19.5 vs actual 19.3
Operating cash flow of 13.6m vs actual of 25.5
Divi 7c (50% franked) vs actual 7.5c (75% franked)
It's fallen 10% in 3 days and is 20% off the high - I reckon this result is absolutely fine.