I do think that the market has overreacted due to bad news but along as the market perceives high risk associated with a potential dilution given that the company could be running out of cash PPS will not increase significantly.
In short no, there is very little likelihood that any good news will break during tomorrow's conference call. I know what I will consider good news though and what I am most interested to hear about during the call/read it on the 10k report. Any other relevant knowledge gained will just be gravy as I reevaluate my strategy moving forward.