As a long term holder of this stock, I lightened up after the 10Q, for the following reasons. The last two projections on the part of their new IR have been wildly overstated. This leads to a deterioration of trust on the part of the investing market. I believe Mr. Pian made an error in retaining this IR, or knowingly retained an IR to promote a difficult situation, in the face of the accounting problems, and reversal of a dismal acquisition. Additionally, I am personally concerned with the Y2K problem in that area of the world. I am not an alarmist, survivalist, et. al, but, in this country, basic utilities and governments have acknowledged holes in their systems, what can we expect in Malaysia. I agree with you on the basic long term viability of this company, particularly in that they are reporting, but in the short term, I am concerned.
Still long, but lighter.
M
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