Also a great independant analysis of our current sp situation from number581 on the other board. I have held one other company that he has so I have read his postings on many occasions. He's not always right but he always gives you a honest and thoughtful perspective.
Although in some ways I disagree on his reasoning for agressive shorting. I beleive poor timing of news releases and marketing of our company combined with a massive amount of flow through shares coming available and overall market sentiment was the cause rather than our valuation getting ahead of ourselves.
Imagine what would have happened if PRB had released the updated 43-101's the day of our peak in the 2.70's range? Where would the SP have gone? We would have come down like all other companies but would we be at 1.00?