being a small time investor, i would like to know how this benefits current shareholders...i was aware, of a r/s possibility, but also of the a/s reduction..which seemed more imminent at this time.....the dropping of that r/s info at noon on friday, was in my view price manipulation....why did he not wait until market close as he had done with prior 8-k releases of late?..if he had reduced authorized, it would have made the current shares far more valuable in the markets eyes, (maybe 20 or 30 times more valuable), at that point, a r/s would have been fair....but to pull the rug out midday on friday during momentum, was dirty for the people that bought the toxic debt so he could get to this point...so again i ask, how does this benefit the little retail investor?