When stocks are suspended for cause, an investigation begins immediately. That's why CMEY has been 'cooperating" with the SEC. Does not the filing of a Form SEC S-1, the direction company was headed, when the SEC took its action, answer all questions of inquiry? Probably not, but that's irrelevant given that they haven't filed an S-1. And did the company's lawyers also have a "bad day"? Is that why they quit?