What about the drop from $+/-2.00 to .10 on an even fewer number fo shares? How is that explained? It doesn’t seem to have much to do with dilution from one amount of shares to another.
Without regard to the rest of it, you're using an apples-to-oranges comparison in your outstanding numbers when you use the non-affiliate numbers for 12-31-18. I think the right number for comparison purposes at 12/31/18 is 176M, not 163M.