I've had a few questions from ppl that keep a very close look at this stock and the main question they ask is what makes it different this time vs after the Microsoft settlement to where no huge sustained gains were had and there was another R/S. They wanna know how this will be different. They wanna know how we know that the CEO won't just stick it up our rears and run with the money leaving share holders in the dirt. Can somebody please explain for the people who are skeptical? Thanks y'all.