Just took a look at the one year chart. I see channel trading between ~$.008 and ~$.010 most of the year except for a couple of pops into the pennies. I also notice very light volume except when those "pops" occur. Also there was a large increase in volume during the downturn at the end of January 2019. Do you have any idea why that downturn occurred? It was before the annual was filed and after a nice pop the previous month and a half. Do you think that sell-off was mainly due to profit taking combined with some worry about the annual report?