why all the not people seem so despondant. Most of the people holding not paper, are under water right now, with averages of 2.38 3.29 5.42 etc etc. with a company who has been drilling for over a year and 1/2 at least now. Assays are slow or non existant to be released, hostile house cleaning a while back, a stock that is so manipulated for pp, options etc the letting go of the best in house geo in Canada (besides Mac and Don of course ) the complete misuse of company funds for legal issues, sending the big guy all over the world to conferences etc etc. Who would not be despondant holding paper like this? The fwr paper people however, have avg of .18 .24 .29 etc etc and hold some nice quc paper as freebies? Its not hard to figure out why the attitudes of the 2 shareholders are so vastly different. Not bashing guys, just seeing it for what it is.