I disagree - I think the market concern is that there will be a Negative surprise in the report. If its neutral (i.e., consistent with managements assertions on NAV) then I think we have relief of the downward pressure on the stock caused by the uncertainty and we would get a pop of some magnitued. Pure speculation.....we shall see. However, I continue to be annoyed by the ineptitude of this management team which is riddled with nepotism. There is literally no excuse for not reporting for 15+ months on a company of this nature.