After seeing us hit $1.10 usd today, I made a quick chart showing our daily lows in November. If we trendline our current trajectory we're forecasted to hit $1.00 usd by next week. Forget our emotions, history, losses etc....how can a company make the very intentional decision not to not say a word under this kind of scenario? Maybe I'm blinded by denial etc. but this isn't a rhetorical question. Can some level-headed person explain why management has purposefully elected to expressly not address their shareholders?