MOD very insightful post...this is also my feeling...
In fact, when one reads that most longs today have some minor regrets of not taking profits at .08 is in some manner proof of your statement...
The next time this moves significantly north, the situation needs to be such that shareholders will not sell...
Your post describes this to a tee....we need to get through these shares now at .02 and attract new shareholders...as this occurs the new shareholders and longs must be confident of the company's structure / future to hold.... and then we move towards uplisting...
VIFN is done converting along time ago, now he is naked shorting taking advantage of MYEC not having a pulse on how many shares were issued. The good news is that when apps and audited fins are out he will need to cover.