Drum Roll....Thats whats been confusing me the whole time. When they first made that PR I thought it was significant in that all debt was to be retired that had been accrued over the previous 2 years and that the Final Shares of Commonstock were issued at roughly .045.
Debt-net maybe, but it's the derivative liability and deficit that will tell the story. If that decreases and the AR and cash are much higher, then we'll see black instead of red.