There is still hope though (no pun intended) fundamentals always outdue technicals with these smallcaps. A decent 43-101 or a couple strong holes from Lavals and everyone will be talking about seeing 5 dollars a share again like before. However im shocked at how little anger there is out there with management and them saying things like the "delays are over now" then giving a timeline that didnt hold up. Why risk a timeline if there is even 5% chance it may not workout? I mean haven't they learned that lesson? i dont get it. Shocking that they did that and I beleive the SP is paying for it now.