I don't understand. This stock HAD a good thing going. All the company needed to do was release a PR talking about the R/M on Thursday. Then Monday release a PR about the new store opening on Monday and we would have been running with a nice PR to continue the run. The company would have made money with this run?!? If it didn't run as high as the company was wanting/needing then address that later at a much higher PPS.
Hell, they could have let us run to .10 (being conservative) issued 5 million shares slowly into the market and banked $500,000 for growth.
What am I missing ???
"There's only one way to
succeed in anything, and that is
to give it everything."
Vince Lombardi (1913 - 1970)