So how about a couple other questions. Why do you think that Q3 was posted early and new options at .445 issued with a vesting period of 1 year. Why do you think that Taylors group is receiving options for the first time? There are other leading questions that point to a logical answer that I will leave off this board. But think about it for a minute. If you look at what other companies do you will find examples where positive news is often issued a short time after options are set.