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C is the best choice.
Insiders are sending a signal that the risk vs reward based on growth plans in asia over the next decade will pay off. At 2.5 dollars, only 2.5 dollars downside with unlimited upside.
So, what are they going to do when Q3 AND Q4 are a BIG bust? Q4 ain't the be all to end all for nothing, you know? Is Gooch and bunch going to scratch their behinds and wonder WHY nobody's listening? Are they going to "rebrand" AGAIN? For the umpteenth time and STILL not get it?