I listenedThe mgmt. repeated yesterdays statement and there were only 2 analysts who had questions.
I never expected this big a hit although I was stop lossed at 1.25 I was not convinced it would go lower than 1.50.
The operating short fall was well known.
The product has tremendious opportunities.
I can only suspect management is not making good decisions quick enough.
Loading up on staff using money needed for inventory and a/r is not prudent and where is the off shore hype now?