A likely scenario after the qtrly report tonight is that the stock stays flat or moves lower. The better the news, the worse the stock performs. My expectations are low regarding a move higher this year. Why would anything change? I don't expect any super-duper numbers or market moving contract wins. Just more of the same apathy. So I can't blame the long term holders for selling out of frustration. Briskie said back in August or September, and I'm paraphrasing "the time is now". I guess not. Pretty sure I won't be proven wrong.