I am so tired of hearing this. That could mean more than 1 month.
My hopefull side says that I suspect they are holding back for a huge roll out of uplist, financials, O/S reduction of 1Billion and a buy back possibly coupled with a R/S to get the most bounce possible while minimizing the effect of the R/S.
My negative side says they are sandbagging and trying to hide the truth. Financials are not as good as we have been led to beleive and the stock will tank. Dang it I hope not. I added another million last week.