TR, Net-Man and Others. Does it look like potential good news is more likely to affect stock price following the late May 10Q report--or after the year end report? Trying to sell the fewest number of shares to pay off a $1200 indebtedness I can. Have up to the end of year--with no interest--to handle it. At .028 it would take selling nearly 43000 shares. At .04 only 30,000 shares. Guess my question is a guesstimate as to when we might most likely get a price spike? Waitedg