Thanks for sharing!
For C&G although the cash flow is higher than the stock price, could it be due to investor already factor in the loss they are about to incur?
As for cacola(from my analysis) i definately do not expect them to incur any losses anytime soon. Although it is still trading slightly above its NAV, every quarter, with the profits they are making, the NAV is rising steadily.
I do understand that cacola is not in a "hot sector" thus not much attention is given to it.
I am a fickle person by nature! haha
PS: i like this forum. Thank you so creating such niche forum for interested investors of the specific company to discuss. Thumbs up (no smilies of thumbs up so i made you one)
(O___o)b