The good thing about getting in at .0001 is that you really don't have anything to lose, save for a couple bucks on the commissions.
For instance, on Monday I am going to monitor the early action and see if today's volume can generate some interest and heavy buying that'll drive this to at least .0002. If so, I double my money in a matter of 1,2 days. If not, I can get out at .0001. And in case news actually comes out, which in my experience is typically the case with unexpected surges in volume, then a 3,4,5,6 bagger may even be in the works here.
Everything to gain, very little to lose. Sounds like a win-win situation to me.