Doesn't that require collusion with the MM and whoever sponsored this stock. Doesn't a company have to get broker/dealer to initiate the 15-c-211 (I think that's the form) and then aren't they the broker/dealer that controls the stock and tells these penny stocks when to release PR's and also provide inside info to them? I think its that's corrupt in general over the entire market. With some stocks more manipulated than others.