imo plan is simple...get as much cheap shares as you can and then start a new PR campaign and sell them to retail at much higher PPS...they got big amount of $ from VC s in exchange for shares at different PPS from 0.001 to 0.02...remember VC s got 36 mil. shares for 720.000$ at 0.02...now we are at 0.0024..all together VC s got 340 mil. shares...CEO and his budy now hold 560 mil. and from the open market volume spikes third parties hold at least 200 mil....aprox. 1b + will hit the market in next 3 months...and for them to make chit load of $$$$ they will run it to 0.02 at least...that s the plan...if you read the filings again everyone have doubled their shares holding s but retail...they have cheap shares and those cheap shares are waiting to be sold to retail at much higher levels...this is how i see things