I just took another look at that most wonderful of 10Qs. Here's what I saw, in no particular order. 1. 18 Billion shares outstanding (ouch) 2. $421 in revenue versus $1,779 in revenue same period last year. 3. $1.3 million in compensation versus $144,000 same period last year. 4. Net loss of $2.1 million most recent period. I think I have a better understanding why this trades at .0001-.0002. .0003 is a bridge too far.