lmaoo.this pos should be trading in .01 and low of .005.CEO A LOSER=OMID A LOSER.THE STOCK IS EXTREMELY OVERVALUED AFTER THER Q2 REPORT.IF THEY LOSE MONEY ON THE Q3 AGAIN,AND I AM SURE THEY WILL,EXPECT DILUTION TO START,TO KEEP THE LIGHTS ON.AND PAY BILLS.THE CASH IN THE BANK IS GETTING VERY LOW.SELL YOUR SHARES,AND SALVAGE WHAT EVER YOU CAN.BEFORE IT GOES TO DOUBLE ZEROS.