What Question do investors want answered during the CC? I would like to see them discuss the following....
1. When and how will they become profitable.
2. The effect of the end of PHE 75/25 rule on reimbursement.
3. How long will they continue to add debt and /or dilute shareholders.
4. Why can't they pay down any debt.
5. Why they say organic growth is higher than what they actually acheived.
Anyone else have any questions they would like answered? Like why the S/P keeps tanking and what they are going to do about it?