Sprot...well I actually have been doing the same thing but only out of necessity. Loaded up at 1.60. I have around 110,000 shares now. I sold off 15 on the pop and recently re-bought and gained another 1300 shares. but that's just wrong! I do it because I have too not because I want too. As Fabius pointed out. the main driver of any micro cap is speculation. because of this "game" that the major shareholders have played we have zero speculation built into this stock . ZERO...you just said things will turn around when they start making money. sure they will but then what you lost was the money to be made on the speculative side. Eaglet has a market cap of 189 million on nothing but speculation on 1 oxy drug. COLL has a market cap of 410 million again on nothing but speculation on 1 oxy drug. we are sitting at a market cap of 70 million. we have approved drugs, we have 2 in pipeline one even bigger than Oxy we have Podras and what speculation is built in? NOTHING....because the larger share holders keep saying we need to see profits. Im just saying, we should be sitting at the $5 level right now waiting for the pop to 10 on filing. then another pop to 12 or 15 on partnership but we sit here with no speculative value and when the news does hit this game os played to drive the price back down because these shareholders feels its better to have more shares of a 42 stock instead of building value. then I keep hearing just wait were getting there. duh...not when the larger shareholders want to keep playing the game and need to drive it back down. I guess thats where you and I differ sprot. You like this game. I don't.