Well looking at the earnings filing alone, I can understand why the stock is going south although the reaction is a bit drastic but the numbers were pretty bad, I mean 17% gross margin? That's certainly not good, need to see big improvement on this one.
I took a starter position this morning of 3500 shares...financials are okay...it's not unusual to see red when news is released...the chart alone tells me this is in a oversold position...looking for an upturn and thx Mike Crane for the alert