It makes no sense to me why we "blurp up" and then subsequently sell off after every good NR. It makes no sense. Or is it some of the 'big boys' out there playing the old game of "even though we are really bullish on this company, let's short it to try and trigger stop losses so we can buy shares on the cheap". I mean....what else can it be. I've held GWG for a long time and I will continue to hold my shares because I think that GWG will be bought in the not to distant future....and Molycorp is on the hunt for a RE processing facility according to news around RES (Rare Element Resources).