Could be? It's a near certainty that the upcoming Q4 will be status quo (not impressive).
1) It won't show any of the good things that started happening, i.e. Walgreens, more orders etc. since these all started this year.
2) It will still show the massive 20 Million in debt, since note-holders weren't converting yet.
3) It will show the usual pitance of a few thousand in generated income, because, well, see #1.
I plan on taking a position again after March, when the note-holders are done dumping this thing. If Roy drops the rest of the 500 Million on us by then, we'll be back into 0.001 country! You know the 100 Millon+ Volume days will not last much longer, if at all... That's the only thing keeping her up for now. Good Luck! ATTD