Thursday, October 20, 2016 11:48:06 AM
Increased revenue and operational profit is a huge financial trend game changer that got me to invest today. The chart also looks very attractive with the 200daySMA break.
A couple negative financial trends I think would be great to discuss.
-does the current liabilities to current asset ratio bother anyone? Could imply increased financial risk(bankruptcy).
-The increased accumulated deficit to shareholders & net loss was caused mainly from the interest/convertible debt expense, correct? What is management doing to reduce this? More cash from operations?
-increased account payable, is there a reason why we aren't paying suppliers?
Long .021
GLTA
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