One good sign on the trading and volume - this is being very heavily shorted. The last two weeks the short volume made up generally 50% and up the total volume. Some days it was almost 90%. With the convertible debt, scared buyers, and naive mgmt - it is relatively low risk short and the payoff has been huge (from $0.08 to $0.015)
I expect buying to pick back up going into earnings on a speculation play