I know that I've been away from this blog for a while, but it is not because I'm on vacation nor anything like that. I've been doing just hard work setting... er, making..., you know, doing some calculations about our results of the fiscal year, and I'm afraid that this, together with the announcement of the date where we are going to release our results for the year, has led to some misunderstanding from the market. They thought we were broken, and so the shares plunged more than the rest of the NASDAQ (the gas price and the subprime crisis is helping a bit too, you know).
So, I had a little talk to Lehman (I'm working closely with him lately to propose some measures to help boosting our revenue up), and we decided to give some results in advance so our stakeholders could have at least a couple of days of relief untill we deliver the real data.
And yes, we are a profitable company again. Well, or so it seems from the mail Mike sent, as he gave me the raw data I'd rather read the summary in the press (but only those articles that say nice things about us, of course).
Stay tuned, there are many more interesting things to come.