I see three major catalysts that will lead to less volatility and ongoing price growth -
1. Clear from any need of a credit raise - not even a speculation of it (I believe we are nearly there within a few quarters provided we have an acquisition free period)
2. Continued growth and the prospect of looking like we’ll hit the magical 100M ARR. (I feel we are starting to ramp this up)
3. We keep costs under control and cash receipts start to build
Are we going to get there? Hopefully
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I see three major catalysts that will lead to less volatility...
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