Market cap $433m Cash position $230m NAV of $2.50 per share Debt under control Dividend of 14c per share (10%+)guidance confirmed Up to 10% share buyback on market
And steadily downhill for the last six months.
I bought for long term growth and steady income but this trend is getting a bit tedious. Is it just the European and US exposure that is sending it south?
Anyone out there know what's happening?
CIF Price at posting:
$1.36 Sentiment: Hold Disclosure: Held