$AEHR what am I missing here? Earnings growth seems solid. Good sector. Overall market is good. We have solid and growing institutional investment. Insiders are not selling. Why are we approaching 52 week lows and are miles from the 52 week high where fundamentally we should be? I am patient and my overall cost basis is in the $16.50 range so not too concerned. I am just trying to make sense of the movement.
Wow. Just wow. Positive cash flow—if I understand correctly. Is it build out of fueling stations and processing facilities dragging the stock price down. WTH?