All that really matters in 000's is under 2B A/S, no diluting, open TA, no SS changes or splits. We have that.
97% of risk eliminated. Anyone watching this can see there is no diluting.
Secondly, the technicals support this move flawlessly.
Thirdly, it's slow because the consolidation and accumulation and the fact it's not a promo/bought run.
But here's the question: What happens when the 720M Float has been consolidated and accumulated for 3 weeks meets updated tier status and HUGE news that no one anticipated or major deal etc. Add that boomage with strong traders and no dilution.