I agree with big, they had 23M in rev, and not all of that was O&G, which is where the real growth is.
So what is their fcst for Q1-Q4 rev to get to 400M? Sorry, I just don't see it.
A well thought out plan, clearly communicated, is what is needed to get SP up.
As to the stock sales, all those options they give themselves is just stealing from the rest of the shareholders. All the mgmt get so many options, they keep selling them bcse they don't think the stock will double, because they know how much dilution is happening.