Sadly amongst longs many are disappointed. We were fine before mgon came along, hitting .024 and staying mid .01s. With missed deadlines , very vague prs , our investment shifted to more of a risk at the moment. Too bad theres no charts on risk vs reward . The major timeline is Nov 15 when financials are due again, another low revenue month and we will be in serious trouble. The 10 million in revs 3rd and 4th qtr was a major reason many invested here.