Q2/2017 Results

Second quarter is gone without any major issues. During this quarter I decided to move the portfolio into a conditional maintenance phase. With this I’m aiming to reduce the portfolio debt which is on the high side after a recent debt restructuring. Conditional in that sense that I will anyway buy additional shares if companies in my watch list drop below my thresholds. While waiting for that I’ll use majority of new capital to pay down the debt and in addition make few mainly small maintenance purchases. Once the debt level hits the targeted 0.1 D/E ratio I’ll replan my purchases. Given the current market situation I would kind of prefer having the debt ratio at 0.05 level or even eliminate the debt completely.