that's ok by me, look at the percentages vs last year...less revenue but due to cost cutting they ended up with more profits in cash.
Net income of $5 million, or $0.26 per share, compared to $5.5 million or $0.29 per share in 2014.
· Cash flow from operating activities was $6.3 million, compared to $3.8 million in 2014.
· Cash position of approximately $19.6 million as of December 31, 2015.
Wall street needs more of these CEO's who think about the end result instead of take take take and leave stockholders with empty bag.