Every results season throws up some “oddity” that I find cant be easily explained. To me this season one such stock was Codan (CDA). I have been reasonably familiar with this story over several years, and met the outgoing CEO a few times, but am only a recent holder.
The treatment meted out to CDA has been severe given the result and I thought it worthwhile having a closer look.
My first comment is that this market is occupied by trend followers to a greater extent than anything I have seen in 30 years of investing, the upshot of that is that stocks will trend way above and way below what are reasonable valuations, imo. Could be the case here to some extent. Both ways.
The companies record over a reasonably long period has been quite good. It is a leader in detecting equipment and spends on R&D to maintain that position. The company has used the cashflow from that division to acquire more in the communication area. All sound stuff so far.
Although having a tech slant there is a weakness in the variability of the base biz. This is due to the reliance on some areas such as Sudan and Afghanistan for a reasonable amount of demand, quantified to some degree in the last result. Some with longer memories will recall the issues around 2013/4 that saw sales fall dramatically and it took some time to recover, although sales again are impacted the declines are much more manageable nowadays. Probably scares some.
However this variability means the stock is not a CSL etc. and shouldn’t and now doesn’t trade like CSL.
So there is variability in earnings that the market should have known of and priced accordingly, didn’t happen, the stock trended too high, that has been over corrected now imo. Is the company over earning? Maybe to some extent but not dramatically imo.
The other area of interest are the acquisitions in the communication segment. In the past CDA record in this segment has been patchy. However mgt went out of their way to say all was well, although early days. There are big hopes here. Any disappointment would be severely dealt with by the market.
The surprising issue with this result is that there were/are risks but they appear to be handled well so far but the market has shot first. IMO that is why I hold and would look to add if more stability is forthcoming. That’s enough of a rant for a typing beginner!