Can anyone decipher whether there is a deliberate strategy going on to devalue the shares in order to avoid paying debts? Might they not achieve the same thing by taking action to allow the shares to appreciate in value, then sell some shares to pay their debts? Seems the company's officers need to "man up", and pay the company's debts out of their own pockets, if they want to attract another round of investors. Otherwise, how do they expect to resolve this unacceptable state of affairs?