There is absolutely no question in my mind that the selling was inspired by the uncertainty generated by management’s inconsistent messages. That of course is the fundamental reason for the selling. I doubt very much whether anyone has rose coloured glasses on when it comes to that. So I don't think anyone is blaming retail shareholders for selling. You made a good decision by selling 1/3 at .63 and getting back in at .335. You increased your position by 25%. I think there are more than a few people who tried to time it. But there were many who hung on with that fear that we would miss some announcement that turned this around. After being invested since the beginning I sure was not ready to take that risk because I don't believe anything has fundamentally changed. And I do think that what motivated this mess will turn out to be something that improves POETs ability to generate revenue sooner.