first two things that come to mind are:
1/ maybe some type of aquisition on the cards?
2/ it's better for those long on this stock to get as many of those options out of the way as possible before the SP goes up any more and not to mention it gives the company more cash to play with($4 mill now, with potentially around a total $6 mill), so it's a thorn in our side that management are acknowledging and doing their best to get it done and dusted and scoop up $millions in the process before the SP gets teh next leg up
Would be good if we could get any insight off management if someone is kind enough to send an email
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