the reason we didnt skyrocket yesterday imo was because many people play a stock by selling into news and even though we had a lot of buying going on, the sellers had a accumulated 10s of millions of shares over time waiting for news so they could get rid of them, if thats not enough to do it, there is also certainly mm manipulation which is one of the reasons this stock got down this low in the first place-it was cellar boxed, now for a stock to come back above a no bid and .0001 after being cellar boxed is extremely unlikely, thats why most companies r/s or do a buyback, the odds of a company actually getting out from trip zips without an r/s or buyback are very low even with millions of revenue and a legit company, unless they literally strike oil or "natural gas" then its just not overwhelming enough to get out, with a natural gas pr that is legit we could do it, with that i believe we would get close to a billion volume, i personally hope marek does a buyback, and then releases the natural gas stuff, and then the dividend as well, if that were to occur in that order we would see pennies.