RE: My opinion on POLY risks4 Apr 2022 09:44
IF the assets are split, and I think that is extremely unlikely, then the most likely outcome would be the MOEX would be listed with the Russian assets and the other markets with KAZ assets. The debt would need to be loaded all onto the Russian assets, and maybe take on more debt or share issue on MOEX to balance. In the end we should end up with assets worth £12+ a share, as the risk will be eliminated. One thing for sure is ALL shareholders would need to vote for it so would need to balance the need of ALL shareholders.