It was pretty obvious to me and after doing my own DD and confirming the important facts, as well as looking at the ibox and calculating what the PPS should be, it was clear that my initial entry position at .0125 was a huge bargian. Then averaged down to .0095 during the dip made it even a better deal. Unfortunately many people just ride the tides, don't care about the fundamentals, and are only in this for day to day returns. I know when the finiancials are released and confirmed to be what I expect them to be, then the low float will cause this to blow up and I will be happy with my choice. Just hope the MM's don't demoralize the current shareholders between now and then.