basically he's wants in for the longer term not shorter term.. so he's trying to accumulate as many shares as possible at a lower price (like below 50 cents) so he sells when he sees it start to rally.. or when we are at a weak point technically (under anon 1) and he sells in blocks or sells heavily into the bid. Then later i think he buys back under td or some other name. but when he buys back its less dramatic so the sp doesnt rise to much. its just my theory.