Disclaimer: thank you for taking your time to look at my idea please understand that I didn't publish it to influence your decision to invest your money and void myself of any responsibility towards your investments.
Note: I am simply trying to increase the coverage that the company may or may not have by publishing an optimistic guess I don't know anything about...
Here is the data derived with many positive attributes via FInViz.com
Index - P/E - EPS (ttm) -1.23 Insider Own 5.70% Shs Outstand 20.15M Perf Week 2.65%
Market Cap 8.51M Forward P/E - EPS next Y - Insider Trans - Shs Float 12.53M Perf Month -12.02%
Income -20.30M PEG - EPS next Q - Inst Own 26.90% Short Float 1.56% Perf Quarter -79.99%
Sales 87.40M P/S 0.10 EPS...
I see a bullish trend in volume, institutions, and potential upward volatility in market. For example look at crude oil etfs and commodities, idexes etc..
Negetive EPS covered by a dividend... need to see this at a dollar
Market Cap 48.70M Forward P/E - EPS next Y -1.85 Insider Trans - Shs Float 12.15M Perf Month -59.03%
Income -38.70M PEG - EPS next Q -0.52 Inst Own 26.90% Short Float 1.29% Perf Quarter -68.11%
Sales 72.40M P/S 0.67 EPS this Y 69.60% Inst Trans -3.03% Short Ratio 1.49 Perf Half Y -75.42%
Book/sh -4.53 P/B - EPS next Y 30.20% ROA -7.60% Target Price 8.63 Perf...