Trading last week indicated more shares were available to buy than could be consumed and that is why the price declined. By what I saw on level 2 and the raw data time stamp tape, buys were outweighing the sells but yet the price declined because someone kept reloading the sell side with stock so it never could get lift off.
This could be for many reasons, discontinted shareholders,daytraders flipping,and debt holder converted shares. My bet is it was a combination of all three