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IMHO, the concern on Noble is no longer on the short-term liquidity. It was eased by the recent restructurings and asset disposals. I agree with CY09's view on the company survival solely from the liquidity point of view.
The new concern on Noble, IMHO, is on the earning power. The 1Q loss was from the core business, after the last disposals. It might indicate that Noble is no longer relevant in its market, due to whatever reasons(s).
A one-quarter result is non-conclusive. Mr. Market is probably over-reacted. Wait-and-see for another 1-2 quarters, is probably the best strategy, IMHO.
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Bonds pricing say so but equity pricing, it is saying the derivatives are 15% of its book value.
So who is right?
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Best course of action is to avoid this stock for now.
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15-05-2017, 07:07 PM
(This post was last modified: 15-05-2017, 07:08 PM by CY09.
Edit Reason: edits
)
to play on the safe side, the 2018 bonds will be better. This is because Noble's CA is more than CL. Of course, if noble decides to fold before that date, then unsecured creditors will be grouped together.
If I am the mgmt with net worth stuck with this company's shares, I will proceed to unwind my derivative contracts without renewing new ones. The inflow of cash will be confidence booster and a buffer for me to do buybacks. This is of course based on the premise that the derivatives are actually worth 80-100% of its stated book value.
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When in doubt, stay away.
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The last longs who subscribed to the share issue are caught at .20 ( 2.00 after the 10:1) share reverse split
longs are very curious species.
Stock is at .59 (0,059 before the share reverse split) -70%
Noble is cheap as it has never been before.
"Interested in Noble if the price is right"
The price is right now I think CY09. what are you waiting, jump ?