Can't say I blame you. If there's no news by the end of next week, I'll unload 1/2 of my .04 shares. Painful as it will be, I still have a portfolio to protect and a question to answer: would I buy shares in this (or any) company based on the DD I can do today? Given the impossibility of doing ANY DD, and given the string of bad news since FDA/CE last year, ie, legal judgements, LaJolla nightmare, I'm sorry to say I couldn't pull the trigger on a buy order today.
DR must know that my sentiments aren't unique to me. WTF is he thinking?