I'm disappointed I added at .0033 on Monday when I could have waited for the cratering we saw today.
That aside we have to wait for management to give a reason to bid up its stock. They gave rosy outlooks in the past only to disappoint when the actual results were reported.
so we can expect...
A) they say nothing and deliver good Q4 numbers (10k due by 3/31)
B) they say nothing and deliver more disappointing numbers yet again
C) they PR revenues are on the rise, yet deliver poor 4Q results
or D) they PR a good outlook and deliver good 4Q numbers
Since the pps fell all they way from .05 to .0013, and is almost back there after stellar volume ran it to .0064, I'd say the pps is telling us B likely to be the correct answer, yet we longs are on our knees for either A or D
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