13-05-2015, 09:11 PM
The last 2 quarters have shed a light on some of the management decisions, and this has caused a shift in fundamentals IMO. I have since adjusted my fair value and also my MoS. At $0.18, it's not attractive for me to top up more, especially during this volatile period of oil crisis.
I will maintain my non-core holdings and wait and see. Q2FY14 and Q3FY14 will be hard to top by the next 2 quarters.
I will maintain my non-core holdings and wait and see. Q2FY14 and Q3FY14 will be hard to top by the next 2 quarters.
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