Again I've played these many times. A company does not put up 10 million dollars in a hope that they break even on the initial investment. Then years down the road they finally make a profit on options. These investment companies have quarterly reports and earnings goals they have to meet. They would be fired if they were not making money for 5 years.
I've played these before and what ends up happening is that the .25 becomes the floor. It might take a few weeks for that floor to get established but they almost always do. The company will supply support at their buy price trying to keep the stock price up.
We will just have to watch what happens over the next few weeks. I am only in this trade for 15% to 20% gain.
On the other hand this stock will skyrocket this year based on the DD I have done. It has a lot of eyes on it.