What I said in the post you reference, "Stafford & White don't have to report anything until end of August."
Dropping the number of shares they own below the monthly reporting threshold allows them to more easily manipulate the SP. As to your question, they obviously had to SELL a large number of shares to get there.
What Stafford & White intend to do now is anybodies guess. Looking at the their track record I somehow doubt it's good.