I can't believe any of those that bought at the .012 level did any DD on the stock at all. Did they look at the earnings and see that the debt and operating cost are 3 times what the total sales are? Have they seen that the shares of the float have been growing and I expect will will see another update soon that those numbers are higher. Do they realize that even if sales are 3-4 times higher it likely still be enough to keep up with cost? This run has been going for a full day now so if you look at the past history of this stock it is likely about to begin the sell off and slowly back to the .01 level again. These PR runs are usually very short lived with this stock.