How is it that we went to .29? Isn't that quite a distance from .14. Pile on more good news and at some point the volume from buyers will outpace the shorting (whomever it is, you seem to say Smithline Mata says it's not) but supply and demand kicks in and the buying will take us higher. Are you saying there will be no good news after the shareholder meeting? What are your end of day's scenarios for us now? I'd like to hear why you think we can NEVER exceed .14 and hold it ever again.
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