RECEIPT OF PRESS NOTICE IN RELATION TO THE UNCONDITIONAL TAKE-OVER OFFER BY SEAVIEW HOLDINGS SDN BHD (“OFFEROR”) TO ACQUIRE ALL THE REMAINING ORDINARY SHARES OF RM0.50 EACH IN DBHD (“OFFEREE”), WHICH ARE NOT ALREADY HELD BY THE OFFEROR AND PERSONS ACTING IN CONCERT WITH IT (“OFFER SHARE(S)”) AT A CASH OFFER PRICE OF RM0.50 FOR EACH OFFER SHARE (“OFFER”)
Old news, just repeat company announce. The way Dbhd movement this past week it has lost much excitement. Bet on Seaview keeping Dbhd listed then punters will be rewarded well. What will be lowest price to go in?
New owner.....its a normal cleaning up process.......Cash Position improved almost double....The new owner has layout his masterplan for the company.......mid term-long term TP remains @ 2.20-2.40....If you are an investor....grow with the company......
On the current date Damansara realty Position is Neutral - Flat based on Medium Term analysis and is Long - Strong Buy based on Long Term. Asset "Volatility Risk" is Medium - High and "Liquidity Risk" is Medium. In the Medium Term, Begin of a negative phase after a reversal. A short term downward move is expected. In the Long Term, Possible Top of the bull cycle. Although the stock is still pushing up, Its momentum is weakening.
Positive cash flow from its operation.....Can easily knock off existing loans....Assets worth millions.....Good strategy by new owner to report minimum loss largely due to depriciation & finance cost......No need to pay tax....I will do the same thing if I am the new owner (stock already cornered by new owner....Liquidity risk-medium...long term risk low..).....I like this counter...very easy to make money if you are holding the stocks....50% short....50% long....either way can make good money...Just follow their tempo....
DBhd got good potential...Long term...looking at the business model and influential new owner...
On the current date Damansara realty Position is Neutral - Flat based on Medium Term analysis and is Long - Strong Buy based on Long Term. Asset "Volatility Risk" is Medium - High and "Liquidity Risk" is Medium. In the Medium Term, Begin of a negative phase after a reversal. A short term downward move is expected. In the Long Term, Possible Top of the bull cycle. Although the stock is still pushing up, Its momentum is weakening.
This book is the result of the author's many years of experience and observation throughout his 26 years in the stockbroking industry. It was written for general public to learn to invest based on facts and not on fantasies or hearsay....
Alfred Aun
1,139 posts
Posted by Alfred Aun > 2014-05-12 14:48 | Report Abuse
y drop backkkk??