Not the entire position but a large portion of it. By my calculation they are out of cash and have been for a few weeks. When I can no longer understand how they are operating their business in keeping the doors open or understand why there are no sales in basically 5 months the risk reward shift is too decisively negative. It's at the point I've got a few things going on and can't afford to have that PR come out that they entered into a Bankruptcy Re-organization and the stock opens at 2 cents. There is something going on, one way or another and management is too stupid to keep shareholders informed or just too ignorant, one of them. I had my entire order set in and was ready to hit the sell button when it ran to .50 a couple months ago thinking it may be the run it was finally going to have and I didn't pull the trigger.