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5N Plus Inc FPLSF


Primary Symbol: T.VNP

5N Plus Inc. is a global producer of specialty semiconductors and performance materials. The Company deploys a range of technologies to develop and manufacture its products. The Company operates through two segments: Specialty Semiconductors and Performance Materials. Operating in North America and Europe, the Specialty Semiconductors segment manufactures and sells products used in several applications, such as renewable energy, space satellites and imaging. Its end markets include photovoltaics (terrestrial and spatial solar energy), medical imaging, infrared imaging, optoelectronics, and advanced electronics. The Performance Materials segment operates in North America, Europe and Asia and manufactures and sells products that are used in several applications in pharmaceutical and healthcare, and industrial. The main products are sold as active pharmaceutical ingredients, animal feed additives, specialized chemicals, commercial grade metals, alloys, and engineered powders.


TSX:VNP - Post by User

Post by rationalon Feb 28, 2024 11:13am
232 Views
Post# 35903868

Hmmm

HmmmI hate to throw cold water on the strong financial results of late, but the company's history still concerns me, as an investor.

It boils down to this: I like to truly invest in companies by buying and holding long term if I believe they have a solid future AND assuming I will be rewarded accordingly. The latter condition, reward, is what gives me pause with VNP.

The earliest VNP listing I see on the tsx is december, 2007. So let's say I bought in then at $7.20. After all those years and company earnings/growth, I would be sitting today with a 40% loss! Compare the TSX total return index over that same period, which would have yielded me approximately 260%, and given that it is a much more diversified investment, I would have slept better throughout the period.

One key to the latter investment pertains to it being 'Total Return'. In other words, it pays a regular dividend. I know people will claim the company will grow faster if they reinvest all earnings in themselves, but what has that gotten investors over all these years.  And who is to say that the future unfolds as company representatives predict/hope. Lawsuits, new competitors, a regime shift in China...who can predict the future accurately.

A small, but growing, dividend with a modest payout ratio would have the following possible effects:
  • investory loyalty
  • a possible floor under share price
  • if payout ratio is modest, they could still reinvest heavily internally
I've been at this game for a long time, and I've heard the same rationale for zero dividends from execs at many other similar sized companies, and the one commonality I've witnessed is that when  such companies hit a rough patch or the general market tanks, the non-div company's share price  trends down to their tangible book value, because there is nothing else SOLID to support it; only management hyperbole. VNP Book value per share currently stands at approximately $1.73.

VNP anagement has been handsomely rewarded over the years. When do long term shareholders get to participate in the company's earnings?


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