Good: Low P/E + good projected EPS growth. Relatively low debt at 36.96%, current ratio at 2.2
Bad: very bad quarter Q3 -0.04 and Q1 -0.07.
If Q4 comes in at below 20 cents, major reason to sell.
Bought at 1.95 on Dec 19 2016
Disclosure: I am/we are long HLTH.