General questions to everyone:
What else do we have left to wait for that will give us shareholder value??
We have:
1. have sales, large ones too.
2. fired and hired the right people.
3. fixed the debt and books.
4. attended the right shows.
5. implemented 4th generation product improvements.
We want:
A. 4Q numbers coming in Jan/Feb?
B. Buyout?
C. AMEX/NASDAQ?
For those of us longs here, do you think A, B, or C will give us shareholder value? And if not, what are we going to do/say then?
My answer: I'm waiting on "A" to see if the market reacts positively. I'm not getting my hopes up on "B" and I can't see "C" moving the PPS.