my guess is we will see very heavy shorting numbers on

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thesmalls
my guess is we will see very heavy shorting numbers on FINRA today both in volume and as an overall % of trades. iLie is working overtime with the incessant bashing/narrative, cycle of shorting/covering has been consistent, and most short term traders have been flushed out of their holdings awhile ago. anyone holding now is probably not going to be overly influenced by the short term games.

CSTI showing 17.6MM shares on the ASK at $0.0007. where did these come from all of a sudden? after CC and 90 day reconstruction coming to a close with business review and plan going forward and NOW someone wants to unload that position? if one held that position to this point - why would they now decide to not only sell but to tell the market theyve given up and please take their shares? unless they did not buy into the CC or believe the reconstruction results will be positive/believable - there is not reason to sell now. moreso - why not sell right after when they could have gotten 8 or 9?

is this a signal we will see VNDM back on the ASK at offer? they have been steadily at 0.002 since they stopped being active.

this is where a PR can be invaluable to both current holders and future investors. put a PR out that the company is on the tail end of a comprehensive and much needed reconstruction to more adequately position the company for the expected demand/growth coupled with current orders/growth. let the investment community know they will have complete results at the end of the phase and provide some expected "highlights" when the report/new plan is provided including (as a suggestion):

-2016 revenues expected to be between X and Y up from 0 in 2015 as the company has commenced revenue producing operations in line with original business plan.

-Provide details on 2 existing SLAs and the revenue stream they will provide going forward ($135MM over 10 years in addition to other production)

-Expectation of ExIM/other loan closures that will provide capital resources to drive the revenues above (what is the time frame for deciding on taking the $10MM versus continuing to negotiate/work on terms for $85MM?)

-Recap new business units/operations (Australia etc) that have been put in place

by providing these highlights and telling the investment world that the company has transcended the OTC fluff - they can drive a lot of attention and enthusiasm to the company PRIOR to the 90 day completion and have a lot more eyes on the results and interested in asking questions going forward on next CC

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