What I do know is there must be some concern about cash burn since they are trading below book value and below cash per share. BV, .433 with no debt to peak of, cash per share .601. Short position under 350,000. The last time it traded at $1 was August 29th intraday. August 7 it closed at $1. Yearly high $2.04. What is even more strange, IMO, is when opening the 2 year chart, what is with that spike to $5+????? Anyone with a clue??