Posted On: 08/18/2015 3:17:46 PM
Post# of 43065
How do people interpret these statements from Heddle in the recent 10Q?
Quote:
" Our current cash levels are not sufficient to enable us to make the required repairs to our processors or to execute our business strategy as described in this Report . "
Quote:
" During the six months ended June 30, 2015 and 2014 the plant was idle"
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