Just wondering what you TA guys think of this.
Reading the 10KSB like a short term trader, which I am not, would. I see Gross margin going from +$2.5M to -$.2M and our net loss increasing to $13M from $6M. If I was a trader, without looking further, I would get out.
I do not see this happening. Only 6M shares traded.
Any thoughts?
SG
If all possible objections must first be overcome then nothing will ever be accomplished.