Be very careful here with the cd's! Dilution is happening and the a toxic Cornell on board this stock will not run unless some kind of news regarding this debt. also with all the pumpers selling into the pump can also be very dangerous. When it drops back to .0006 or lower yuou may think about grabbing a bit but fridays action most likely told the true story. Not a healthy stock. First run in @ .0006 out @ .0008 Second round in @ .0006 out @ .0013 Won't touch it again until I see some news. JMO and most likely wrong
Just take your profit when you can. With the exception of a selected few (ex. MSTF, COPI which was as low as .0011 in August) they are just not worth the risk long term. Most importantly don't listen to anyone here pumping or bashing. People have their own ulterior motives. Just do your own DD and check the historical prices