Once a company attempts to do a 1:2500 RS against the OS, especially with a smaller RS against the AS (ie...dilutive RS), they have essentially shown that they do not care at all about the investors or even showing the illusion of caring.
Good on you for writing them, but barring a crazy longshot scenario, this is all about getting what you can out after the RS. Maybe we'll get lucky and have that rare post RS pop but not counting on it. If everything goes perfectly, I might walk away with only a $10,000 loss but expecting it to be much worse...it is what it is