power
2 choices. MM or company. We all know the MM scenario. As for the company. I would do it like this. Issue a buyback "after" I have bought what I want on the open market knowing my plans for the next year. Once the buyback (if) kicks in the PPS, I start selling small lots looking to see where it goes. It peaks @ .128, I'm still selling. It now turns. I still sell shares and continue to do so being careful not to "kill" it completely.
Why do I do this? Because I can. I'm non reporting. I know what my target date is to complete the paperwork for filing and by then, I will have disposed of what I want, and will retain the rest.
This doesn't make it true, just what I would do in the same circumstances if I chose to take that route.
Be happy while your living, for your a long time dead.