Looking back in the posts starting in 2011 I had the opportunity to view the many screen shots of level2 action where very little daily volume made the stock rise to 3 cents. The interesting thing about it was that people knew back then the merger was fake, or at the very least, ought to have known since no real evidence was produced. Basically the stock rise was based on rumors of one person whom had contact with morey.
Fast forward to 2015 we have had historical volume days, a company that has proven they are getting the shell ready to do a merger by reinstating the domicile, scraping the preferred stock, hiring a new TA and getting the financials in order to be able to market the shell. Please tell me why it is we are having a hard time staying above a penny when in 2011 with rumor we hit 3 cents with the very same float.