So you think retail is just dumping this much for a loss with all the "upside" we are supposed to be looking forward to is coming any day now? How's that make sense? In a normal pick the price would be going up with all that's in the "pipeline"... not down.
And the why not higher? Because at this point the company is worth zero cents without a filing saying otherwise. So they are trying to max profits without tanking it. Makes sense me if I was trying to sell 300 million shares and had no catalyst to drive it higher.