I did not read what you said correctly the first time. But I agree both scenarios are possible, At the 52 week pricing alone anyone could have accumulated the size sell that happened today. and be up a sizable amount. The lack of due diligence possibility and just taking gains at a satisfactory % margin might be as likely, redistribute that over 6 more penny stocks and play the game again. But your right everyone has bills, anyone's guess what the motivation would be. It's difficult to see from the vantage point of the past execs. I'm more of a get them from my cold dead hand long, so... LOL