It's now a race between bad a buyout number and more dilution...but remember they are 100 percent debt free! And they are still saying profitable by 2016? Is there a CC scheduled to explain how in the face of falling numbers? So sad, I had this picked as a good pick for 2014 and going into 2015. Now I don't know what, but good to be diversified I guess but averaged in in the .80 range and this is depressing now. Should I double up or cut losses or hold?