As the "executive", its solely your responsibility to bring value to shareholders. I demand an explanation regarding the price of this stock. I am not interested in hearing about how you have no control in where buyers and sellers decide to meet, it's on you to motivate these buyers and sellers to meet near a pps that's valuable to the shareholders. Just looking at the chart, I see a huge front load in late January, early February with no pps increase, then I see a double topped rocket shortly thereafter with equal volume distributed over a longer period than the accumulation took. So as the CEO, tell me, was your pre and post rocket pps reflective of the company, or was the .04-.05 range a better reflection? And if so, why isn't it still up there? Who are the other 2 individuals that DID sell shares? How are they connected to ICPA? Seems like they picked the "perfect" time to sell, wouldn't you say?