just for the sake if discussion, if OCZ doesnt go BK and to zero, whats the second worse thing that could happen ?
would it be a 10-1 reverse split and a 50 % dilution with another secondary ?
while we are at it several institutuons added to their position, including Black Rock why would supposidly smart money buy something going to zero ? why would any of the big guys be buying this at any price? why was there no insider selling after april ? why would RP run this to the ground and still hold 2.4 million shares ? if he knew he was scamming wouldnt he have sold everything and moved to belieze ?