What do you folks think? Please feel free to feel in, copy this, add, and repost. No pumping, no bashing, just facts.
Positives:
* Price/Sales ratio below 0.02! * Low OS (~20M) * Low Float (~4.3M) - insiders held many shares, and they never sold, or intended to * Explosive Y over Y, and Q over Q renvenue, and decreasing loss. * Very good Gross Profit/Gross Revenue ratio * No R/S history * Current price not in good correlation with latest good (IMO)news * See previous prices
Negatives
* Large overhead - Mgmt promissed to try reducing the advertising/ * Mgmt salaries, too large - Hope they will address the problem * No news - this is, IMO, the main reason for the drop, as of late.
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