Keep INVESTING Simple and Safe (KISS) ****Investment Philosophy, Strategy and various Valuation Methods**** The same forces that bring risk into investing in the stock market also make possible the large gains many investors enjoy. It’s true that the fluctuations in the market make for losses as well as gains but if you have a proven strategy and stick with it over the long term you will be a winner!****Warren Buffett: Rule No. 1 - Never lose money. Rule No. 2 - Never forget Rule No. 1.
Sunday 14 November 2010
Maybulk
Date announced 24/08/2010
Quarter 30/06/2010 Qtr 2
FYE 31/12/2010
STOCK Maybulk
C0DE 5077
Price $ 2.95 Curr. ttm-PE 12.24 Curr. DY 5.08%
LFY Div 15.00 DPO ratio 62%
ROE 14.7% PBT Margin 34.7% PAT Margin 32.9%
Rec. qRev 96067 q-q % chg -16% y-y% chq 36%
Rec qPbt 33369 q-q % chg -38% y-y% chq -55%
Rec. qEps 3.16 q-q % chg -39% y-y% chq -56%
ttm-Eps 24.10 q-q % chg -14% y-y% chq 4%
Using VERY CONSERVATIVE ESTIMATES:
EPS GR 3% Avg.H PE 11.00 Avg. L PE 10.00
Forecast High Pr 3.07 Forecast Low Pr 2.13 Recent Severe Low Pr 2.13
Current price is at Upper 1/3 of valuation zone.
RISK: Upside 13% Downside 87%
One Year Appreciation Potential 1% Avg. yield 6%
Avg. Total Annual Potential Return (over next 5 years) 7%
CPE/SPE 1.17 P/NTA 1.80 NTA 1.64 SPE 10.50 Rational Pr 2.53
Decision:
Already Owned: Buy, Hold, Sell, Filed; Review (future acq): Filed; Discard: Filed.
Guide: Valuation zones - Lower 1/3 Buy; Mid. 1/3 Maybe; Upper 1/3 Sell.
Aim:
To Buy a bargain: Buy at Lower 1/3 of Valuation Zone
To Minimise risk of Loss: Buy when risk is low i.e UPSIDE GAIN > 75% OR DOWNSIDE RISK <25%
To Double every 5 years: Seek for POTENTIAL RETURN of > 15%/yr.
To Prevent Loss: Sell immediately when fundamentals deteriorate
To Maximise Gain & Reduce Loss: Sell when CPE/SPE > 1.5, when in Upper 1/3 of Valuation Zone & Returns < 15%/yr
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