On November 3rd the last PR was released. Since then stock is pretty pretty quiet!!
Date Open High Low Close Volume Chg % Chg Adj. Close Trade Val # Trades
11/16/15 0.0248 0.0248 0.0201 0.0201 62,500 -0.0011 -5.19% 0.0201 1.41k 4
11/13/15 0.0221 0.0221 0.0203 0.0212 125,558 0.0001 0.47% 0.0212 2.72k 9
11/12/15 N/A N/A N/A 0.0211 0 N/A 0.00% 0.0211 N/A N/A
11/11/15 0.021 0.0217 0.021 0.0211 49,300 0.0008 3.94% 0.0211 1.04k 4
11/10/15 0.0255 0.0255 0.0201 0.0203 97,963 -0.0048 -19.12% 0.0203 2.28k 10
11/09/15 0.022 0.0251 0.022 0.0251 11,400 -0.0099 -28.29% 0.0251 279.32 2
11/06/15 0.023 0.035 0.0192 0.035 79,680 0.009 34.62% 0.035 1.79k 5
11/05/15 0.026 0.026 0.02 0.026 63,100 0.0058 28.71% 0.026 1.38k 5
11/04/15 0.0212 0.026 0.0202 0.0202 47,229 -0.0058 -22.31% 0.0202 1.17k 3
11/03/15 0.02 0.026 0.02 0.026 156,005 0.0049 23.22% 0.026 3.74k 13
If I was a long, I would be seriously worry by the market reaction.... Could it be b/c market expectations regarding this deal are really really low!??! Like shareholders would get nothing of it???
Not looking good longs........