Q3was still the best Q3 in company history on the rev side. DD obviously had pressure from shareholders to ramp up spending on the sales side which is why Q3 was a 1 cent loss rather than a 1 cent profit. So invest in the company and have the SP take a hit or continue the same old and hope for the best. We will see if the strategy pays off. If Q4 and Y25 have accelerating sales with new contracts then DD will be considered a genius. At the moment the market seems to be pricing in a loss for Q4. Highly unlikely in my mind. I'm sure Rekor, BP and Hayden would be ecstatic with a 1 cent loss for 3 months. In the mean time the penny flippers and shorts will play their games.