Yet they way I look at is, people always think they are catching a good deal and really do not understand the overall finance issue. So therefore the interest in buying is merely hoping for the best entry to only find out later in a diluting company like this one currently it wasn’t a good entry. Then they have to buy more to average down and the new “great entry” just to turn around and run down again, it is a never ending cycle. Anyone remember this trading at .005X a month and half ago?
.004 is it .003 is the bottom .002 is a steal .001x should be it