you're missing the point...
Roger has over 20 years of experience in securities law. He has handled numerous IPOs and other public offerings, PIPE transactions, exchange and hostile and friendly tender offers, mergers and acquisitions involving public and private companies, private placements, Rule 144A sales, Rule 10b5-1 plans and all filings and reports required by the Securities Exchange Act of 1934.
If anyone could spot a stock scam, I'm sure this man could. I mean he only works as counsil for the company
-or-
he's complicit in securities fraud...anyone gonna make that claim yet???