Take away any advantage to traders I would say? They can look at weekly share structure and know bid support will diminish if more shares are coming out on the market. Investors need to focus more on revenues and accelerated growth as opposed to minimal dilution. They have proved to take away ammo from bashers...long term note paid in full early...now we don't know about dilution even though it has been minimal the whole time. I agree with the decision...I just need to see revenues increasing and more deals and I am a happy camper...my vision is in line with theirs...a global brand. 2014 will be a break out year that grabs everyone's attention IMO...and with a huge stock coming out of the OTC...that will grab market attention even quicker.