Pmdkia and I are in this for the long haul. In 3 years we will more than double our investment.
Other posters do not have any skin in the game and are just hot air.
We have cash, solid assets, good management and growing revenues.
Focus on the future, not the past.
The only growing revenues (and cost I might add) is due to the purchases that they cannot make anymore. At 50 million annual losses for 2012 how the hell can they turn this around? If you have money then why don't you spend it on better investments?
I am also curious what part of management is good?
They do not have that much cash left at 13 million a quarter losses.
So what am I missing?