Per latest valuation report, the NAV is tad above 97 Rs at a WACC of around 10%. Keeping 20% aside for possible aggressive assumptions we still get NAV of somewhere between 75-80. So no reason to sell. If there are no more acquisitions, they will keep returning the money as “return of capital”. And final payment should happen once last asset is handed back.
Disclosure - Holding and hence biased. Entered at a lower price a couple of years back
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