Trading toward trial results over a few weeks is going to be better then getting results next week then selling off. I bet we can build a nice base heading toward a $dollar over the next two to three weeks and we’re sure to get two status PRs during that time. That will give us a more sustainable share price wherever it ends up after News.
But who knows. I’m wrong a lot so maybe we spike next Monday and gap to $2 on pure speculation. A partnership or buyout trumps everything else.