Okay, okay, okay ... . It is likely that this company is a ginormous turd pile, but the implied volatility in it is high, so I'm pulling the trigger here on it as a small speculative trade.
Metrics:
Bought 100 Shares at 1.61
Sold Oct 21st 2 call
Whole Package: 1.37 db
Max Profit: $63
ROC: 46%