great news out....Sales are increasing and are projected to continue to increase next year. The results support my belief that the current share price is a bottom supported by the company's core business. If anything comes out of any of their pipeline products, then that would be a bonus. The only risk by holding is time and lost opportunities of investing elsewhere, but at these levels the risk of a lower share price is very minimal. Let's hope the increased sales is reflected on the bottom line. In any event, this should be a green day.