Well this topic has sparked a fair amount of comment.
I would just like to say that I feel the problen with dilution @.80 is that if we see some relatively small improvement in SP , there will be lots of shares on offer at low prices that will tend to keep our SP artificially low for an even longer period of time. In a nut shell , we are becoming a company heavily weighted towards shorts at the expense of us longs.
Pity Rico