Aside from your highly distasteful and sarcastic point of view I would offer the following reasons:
This is the bottom. The risk reward to buy anywhere below 5cents is surely a no brainer. We are in a better position to turn things around and I know our revenues will only increase because A)The nature of our business is to service clients and if we can provide a good service we will retain our current clients and expand to others (continuous cash flow) B)We have a great partner in Microsoft who wouldnt dare come near us if we couldnt deliver a sound and economically viable product. C)Management is focusing on streamlining our expenses and focusing on our core business (we saw that with the selling off of Altronics etc.) D)WE have new management who have appeared to turn things around in a very short time. Mind you very competent management. E)Didnt you notice insiders adding to their positions awhile back?? Nobody is selling because they believe in the future of the company. F)The future of robotics is bright and if we can tap into that prosperity and hold it out we will all be generously rewarded for the risk we would take now. G)If we continue to better our margins we can focus on paying off the debt. (We needed it to continue our operations) H)If we land one major contract out there...the SP is gonna go up nicely at these levels.
In the end there are likely more reasons but people here are focusing on only one reason why you shouldnt invest...That being cornell. WEll...If you think about it....Cornell also sees a future to get their money back.
I say the reward totally outweighs the risk. I could be wrong but if im right investors out there could be very rich if they buy buy buy!!!