-The Company is a solid grower. Revenue up 20 percent Q4 2006 to Q1 2007.
-The stock has pulled back from a recent run, and has build a strong support at the current level.
-Good Balance Sheet. Stockholders equity at 4.9 million dollar up from negative equity a year ago.
-PE less then 10.
-Next coming two quarters are seasonally the strongest.
-Only 14 million shares outstanding
Conclusion: I expect the stock to retest it's recent highs in the coming weeks. Look at last years run dec to feb. Fundamentals much stronger than last year. So I think at the very least it makes a decent trade candidate. All is just my opinion, and I could always be wrong though.
---All above is just my humble opinion. And I could always be wrong. And as always do your own DD.---
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