Q: In a recent reply to a question about DR, you concluded with a sentence:
'This makes it tough to have a whole lot of confidence on the potential cash flows.'
Could you please expand on this as it sounds like you are 'forecasting' a future drop in earnings / cash flow? Can you share any evidence you have that would support this view?
'This makes it tough to have a whole lot of confidence on the potential cash flows.'
Could you please expand on this as it sounds like you are 'forecasting' a future drop in earnings / cash flow? Can you share any evidence you have that would support this view?