Mr. Aandt in your opinion why would Paradigm go through the laborious process of cleaning up a balance sheet and using any further dilution to clean up debt? Is there anyone out there that has a trading background that can see any advantageous reasoning to do this for Paradigm or as a way to scam shareholders or as a way to create opportunity for insiders? My point is there a possibility that Gary and his new CFO etc are actually doing these things since they may believe they have a shot to scale and some ability produce some eventual upside? I mean if there wasn't possibility for upside here why use the dilution to satisfy debt at all? Very confusing when I read through certain posts here one guy actually said he has not messed up like this in 41 years of trading, Really?. Cannot identify if people are frustrated or just manipulating information. Appreciate it...