As of the latest short position report (Sept 15), there is only 28 K short.
IMO, I do not beieve there is a naked short of 14 million.
With all the dilution to noteholders, many whom bought at <0.025 are sitting at huge gains at >0.05. Perhaps selling some to recover investment.
I am surprised with Monday's news, that no one was buying at 0.045 yesterday. Perhaps the word is not out that the finance deal is done (IMO)