Let's get specific.
Was it reasonable to expect there would be no more CRs and promise such to shareholders.
Having failed to deliver no more CRs, was it then reasonable to forecast a massive jump in adapt to $4.2million from 2.X in a single quarter while delivering the CR.
If either of these were reasonable based on expected outcomes, then why was no rational reason given for failing to meet either of them.
my view is that these claims were not reasonable.
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