Tough to sell in May when collectively we are holding a large volume of shares in a market where demand is waning.
Investors have not been selling but instead, buying and holding when they can at these low levels in anticipation of the dam breaking....or at least leaking.
Your observations are correct but had investors taken that approach the pps would be sub .01.
DM, SAMSUNG and the 184+ remain in play and the company is as solid financially as its ever been in my time here....so why leave in May when you can further position or just wait it out for the opportunity to be recognized by greater forces?
It seems we have never been closer for something big to break this wide open.