Am methodically working through all the posts on BOT since "The Nightmare" of early July to take stock and review my conviction on BOT and action to take. There are lots and lots of very valuable insights ...
Upfront apologies for what feels like a dumb question to me, being rather new to BOT, but it keeps popping up in my head as I work through the posts on BOT:
"What is the utopia target or targets, implicitly or explicitly, that the market is expecting from BOT which caused the huge disappointment following the July "The Nightmare" announcement ie, oh crap, given current trajectory, I think target x is going to be missed/delayed/short ...
Is it $100m top line revenue in CY2026? Or cash flow positive in CY2026? Both? Or something else? I had $100 top line revenue in CY2026 as a goal that I think popped up in the Matt SM interview.
The reason for asking is that it feels like a lot of the analysis seems to be trying to establish if BOT can still get to "something" but I am not clear what that "something" is.
Or should I just ignore that "something" and work bottom up to determine if the investment case still makes sense, given current trajectory, which is how I framed my thesis. Sofdra is going to change lives, there is a huge TAM, and BOT is well positioned to go after that TAM in the coming months/years ... onward and upward?
Discl: Held IRL and in SM