Market's view on Cavendish Fin
Published on April 2024
- A vibrant M&A market in the UK is indicated, suggesting a robust environment for investments.
- Concerns about the survival of junior brokers due to low liquidity in the AIM market are highlighted, with suggestions to stop short selling on AIM to stabilize prices.
- Interest in dividend prospects alongside the company’s full-year results is expressed.
- Difficulty in buying substantial quantities of shares without affecting the price is noted.
- Positive reactions are shared regarding a company’s trading update, describing it as excellent.
- Details of a company’s financial status include a significant cash reserve and a substantial increase in revenue, presenting a promising investment outlook.
- The resurgence of the M&A and IPO markets in the USA and Europe is discussed, with expectations that the UK market will follow suit.
- Recent successful deals involving Cavendish are mentioned, showing active involvement in significant M&A activities.
- The implementation of staff incentivisation schemes is seen as a positive move for motivating employees and aligning their interests with shareholders.
- Criticism is voiced over the costs of new offers to staff, questioning the impact on shareholder value without improved company performance.