RE:RE:RE:I wonder to Not too concerned about the options as most all companies do it, it's more about the timing with other potential dilution.
As I stated before we have a deluge of possible dilution that the market may have to deal with in the next 2-5 months, target boy, drone dudes and options. I have no clue who will exercise what but the potential is there.
These possibilities of good size dilution are my only real reasons why the market doesn't jump on news DM brings and why the price is subdued, clearly we are under valued and growing which normally brings recognition from the market.
Q3 is a big report imo and may be the turning point that the market begins to price in fair market value.....the 40 million co-bid may give a boost to market sentiment but that could depend on what our share of the 40 million is.