Yeah, my cost average is north of .02; and with the millions of shares sold so far under .01 (I would guess somewhere in the 70-90 million range looking at the chart), there will be a lot of selling pressure in the area of .02-.03, and we will need some stellar news to bust through that. Would have preferred, chartwise, a close around .083 rather than .085, although maybe the close will get some penny newsies attention. We really need some revenue positive news, though.