Has anyone thought about this. The company sold alot of shares at the 3,4, and 5 cents range. Maybe they are holding off on the PR to buy those shares back at .005, once they get enough they release a pr or get back on pinks w/ a smaller float causing a run in price and sell the shares again at 3,4, and 5. It's not right but I have seen companies do it before. Just a thought, I'm along for the ride holding 310k shares.