Not even a run up before earnings- So who's going to buy if earnings are good? Maybe some of the same people will accumulate shares and we see a 1-2 cent pop. If earnings are bad and they are forced to restate past revenues (which has been foreshadowed) this will drop hard. Right now because of the little demand and constant dilution, just one retail sell is very detrimental to the share price. Risk/reward seems unfavorable to investors right now. Just what it looks like to me- Would love to be wrong.
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