At .0001, getting out would be a good way to "sell low," IMO, just before a pop. If anything, I think longer-term holders would be better to average down and get ready, cause the volume has definitely been up. A simple .0001 to .0002 is 100%, and that could be just a start.
I like the recent debt news. If they can keep the bias positive, this thing just might gain some legs.
IMO, this a good speculative buy.
GLLK