Can you elaborate on this? I swear I have never seen a more bizarre thought process than yours. I don't mean that as an insult, sometimes unconventional people have the most unique insights. But how does "The fact that we are still trading under .10" during consolidation mean that the share price is more likely to hit 10$ after consolidation is over? Makes no sense to me dude. And how do you justify 10$ PPS, 5,000,000,000$ market cap, before 10 locations are open