I hold because I believe the deals spoken of have large potential, but thus far management have proven to be terrible (to say the least) at keeping the market informed
I only got out by the hair on my chin with a couple of million shares, first bought @ .04ish then low 3's then loaded truck at one of the first dips down into mid-low 2's, fortunately it came up to .032 and as soon as I saw green I sold because I had no faith in management by that stage......then recently bought back in @ .02 as the risk V's reward seemed decent