Don't know. Got in a little before run. Bought .65 sold .86 and rebought too early at .68. So in the red. I really don't know short term. Could be toxic financing and warrant dumping and dilution or could just be a time. Seems a little off to me with recent price action. Imho
Not sure why the PR for the partnership isn't out yet but I think the fact that it has been delayed contributed to some of the selling, especially the past couple days. I think people expecting the partnership news got worried when the SP kept falling and some likely thought there was somthing wrong so they bailed instead of waiting for the news.
I am not expecting PR's of substance from this or any of the companies I own until the new year. Month and year is winding down, people are taking vacations pushing things to the back to restart when the new year kicks off. Just have to hold if you believe.