I am certain you are ignorant at best, and a short at worst.
"So in terms of looking at further down the economics at $250 million in net sale. We'll get 31.5% of that which is about $80 million plus that threshold we achieved some purchase price adjustments as well as some milestones which another $55 million take on top of that when we get DEA scheduling is another $65 million. So if I do my math right that's an excess of $200 million on their first $250 million of sale.
So it makes significant opportunity for us. In terms of other opportunities we just announced last week a nice collaboration with the South Korean company Ildong but we received a $5 million upfront payment great economic service as well first dollar on net sales is at 35% and that will ramps up to 45% on net sale.
In terms of other areas that we are moving forward with the European strategy. We did file in the EU in March of this year. I can't believe it's for this year but and so we founded the 120 day questions and we are hopeful to get a decision on that in first half of 2013 probably behind that is actually Switzerland as well which is where our manufacturing facility is."
Sentiment: Strong Buy
Interesting, so why is it that under the Analyst Reports section of ARNA in TDAmeritrade all say either: SELL, AVOID, or REDUCE...why???? Are you telling me that all of these reputable analysts are all idiots and the few posters on this board are brilliant? lol!!!