We can attribute the selling to mostly etrade. Whoever was liquidating was probably holding 2.5mill shares and had hoped the annual filing contained more near term fuel to pop the price for them. When that did not happen he/she began aggressively liquidating and the shorts joined the fun forcing the etrade seller to continue to low bid whack.
End of day stock looked much better, then again my average is down at these levels so I am okay with piling on more here. In maxm and boustead we trust.
I will be calling George in short time to say hello :)