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repost from yahoo
"Exro is excited to share that the company is completing its engineering validation on the 100V Coil Driver and is on track to deliver the electric car inverter by the end of November.
Did you know that the Exro Coil Driver can help make the highest performing vehicles in the market? The Coil Driver can:
Control any electric motor, enabling it to operate more intelligently
Calculate the system’s demands for torque or speed, and seamlessly switch the configuration to match the desired output
Electronically optimizes the powertrain, extends operating ranges, and increases operational efficiencies
Following the 100V Coil Driver engineering validation, Exro will move into its 2021 commercialization strategy. Stay updated by visiting the Exro website and following us on social media."
exrof...news tease...news imminent big news
https://www.linkedin.com/company/exro-technologies-inc/
exrof this post from the yahoo board has chased a few folks today that have impatient money riding here
"I talked with Jake from IR yesterday and came away with the following. Maybe not much new here but I will post anyway. My understanding is that the only news re Potencia is an announcement by Exro that the completed coil driver is now being sent to Potencia for road testing. That testing to be done over a period of 3-6 Months. I asked if they have had much interest from institutional investors and Jake said that they have had many inquiries and went on to say "the share ownership structure is about to change". Also, he confirmed that they have a bank balance of about 10M and are burning between 550K and 600K per month. He also shared a report done by Haywood Capital markets. This is a comprehensive analysis of Exro and that included a target price of $6.00 CA. I'm sure he would make the report available
to anyone interested. It is well worth the read."
exrof in play to the upside for the next TEN YEARS
forget all the ev stocks just buy exrof and you buy them all because exrof will be in every thing electric ..EVERYTHING!!! one stop shopping
exrof everyone is tired of this range. me the mm's everyone..time to blastoff
flipped gtec today for a few bucks and bought more exrof on the dip..glta
exrof institutional accumillation LOOK OUT ABOVE
exrof..mark this post 100 billion dollar mkt cap...sooner than you think..
igc something is cooking..picked up 2600 shares at 1.50 avg
exrof + nlst = retirement..buy and hold
long time no hear from you ..hope you are safe ..i have 25k shares of exrof and buying more in the morning..about the same price..ill keep my eyes on it and give a look now..
hi geo, buy HEXO 81 c last close. BUY THIS ONE : canabis play. i like it. they sell canabis drops . i think it will be phoenix rising from the ashes ;).. hope u doing well. i dont come here post often. because i am on other site.
holy chit basillica you posted on lose to profit. one of the all time incredible good guys runs this quiet board. IPRE. the best of the best..thanks for posting here
i got 2.3 million of them...i sure hope you are right bro...
I saw you at pktx and if you want to run and make some serious money check out BMIX look at all the DD and this one is primed for a real move ! I still like PKTX but BMIX IS MONEY !
im over at vyst since .041 130k shares
DTEA....going to be a wild few days...
My main focus still: TECH stocks and OIL related. That's all.
not sure what you are up to but if i had your 1000 and ameritrade let me buy it, I would park it in UNVC..I dont feel so bad however because I am holding INFI..back in at 2.75
i have only 1000 dollar, out unvc, IN MNKD now at 6.60
ipre....i dont know how much money you have but infi and otiv are retirement stocks..do the dd..both selling about 1.50
best value anywhere in the mkt...i said so
ipre unvc is the one you have been waiting for..wish i could join you with more than the 52k shares i have
I have 2.8million pdgo but no one wants to play there at the moment..UNVC is .10..you are finally going to get rich
geo,NETE 0.54$, 11 M Mkt cap:I'm in 1300$ : mobile paymen stuff.
Revenues is 4 x time its market value.
Could it be a +100 bagger ? hehe or a -80% loser.
Worth leave couple of 1,000 $ on table for enternity.
Got my first salary this Agustus after jobless end 2016 !
ipre i had 2000 shares of bvxvw at 1.70...I had to sell them to pay debts and it runs to 3.80 on its way to way north.....
so all I have is 1.1 million shares of pdgo
It's long time no hot stuff. bah TSLA (323) is where i play long
there is no message board for BVXVW..maybe i will start one..not sure how to do it
BVXVW..hard to find a lot of info on it..i think there are about 5 million shares outstanding..universal flu shot in phase three testing...i got 2000shares...i was determined not to sell the INFI but i stumbled upon this and I like the upside better.
well i did it again made a few bucks on the trade
sold infi premkt. to buy
BVXVW
i agree but it is boring...so best to not watch the tape and just buy and hold...but i always look around for the monster runner..just a gamblar at heart
I sold before ER.just small 200 sh.Ok i think sometimes we need to stick with a very solid stuff to generate resource by letting the paper work for you.
it the same old story IPRE...when you get that runup before the news sell it because everyone is going to sell the news..its happened to me so many times you would think I am incapable of learning. Maybe it goes up eventually if the earnings were decent. I didn't read it...Im just holding infi...if the insitutions believe who am I to argue..ptx has a fair amount of institutional ownership. from yahoo about 20%
INFI is about 85% owned bu instituions. I will just wait...dont have powder to burn...dont know what your buy in is with ptx but if you believe, just hold. 20% ownership is retty good and if the report is any good they will be buying..i dont care what i think in the future if their is a runup to earnings then i will sell the day of earning about 1.30pm and never look back
gl
In 200 x PTX 4.3$ announce Earning AH hopt with a +100% kaaboom.
PTX bio stuff 4 $ may ROCKET on ER schedule on 28 march.
BY CHART it icould be a violent rally for a double.
i think the market cap is cheap and share price refuses to go down since many months and it has tendancy to go up slowly ,could be sign of Kaboomer in the making.
yes, infi is serious one no debts yet.Their asset has some value even if their product failed, if not then it can be a huge winner.
by the way if you remember SBAC. the cell tower company that was selling at .28 back in the day because they thought they were going to default on the bonds. today 110 dollars
remember Petroleum Gas Services a norwegian gas service company down to .11 cents because they thought they would default. But their ceo jens ulviet Moe figured out a way to create value for the common shareholder after the bk..I made 7,000 dollars on that trade but that was a long time ago...So anything is possible...gl
keep an eye on OTIV...it will be a revenue monster..1.70 it will be an explosive growth stock for the next couple of years
i got hurt on innv but i continue to hold infi now at 3.55..infi its the science..IPRE think about the science..they have an oral compund that utilizes the immune system to degrade head and neck tumors..they have cancer cornered...this will be a ten billion dollar mkt cap someday..it will start moving a buck or two a week..imo...Im holding for 100 a share..hahahahahaha but i actually believe thats what will happen here..over 80% owned by institutions and they keep buying...so no more trading now..I cant because i wont trade my position I have in INFI...an ORAL compound..non invasive...effective...and just in the beginning of things
gl and thanks for keeping me in the loop...
oil offshore skpped debt due:GLF 0.37 from 40$. a potential BK . for those Lottery ticket that could be played for a darefull yoyo move.
conference call after the bell today..moved it up three weeks...good news coming i hope
ok so mainly in innv : setting up wel for ongoing rally.
well ia only have 250 shares of infi
250 shares of otiv
and went all in with 14,000 shares of innv
and i have a little powder
I'm in PTX now. this morning INFI 3.8 was an opport to trade, but maybe tou still in.
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Moderator IPRE-Paramount | |||
Assistants saigai |
.Welcome to the Board 'Loss to Profit, let's make your lost money back !'
* * * *
A word from moderator .
Welcome and thank you for visiting the board.
I am glad that after setting up this board, the board concept has addressed the need of some of you.
Thanks so much to some smart posters, especially to my assistant who continually bring to my attention a bunch of interesting stocks .
I'm using my own long years experience + sometimes some help from skilled guys on i-hub, trying to not miss some gems that i hear about , and I pick them .
I wish this Board is helping you reach a weatlhier situation .
Moderator
* * * *
Tired of losing money trades after trades ?
Feel bad/down ? Not skilled/sharped enough for the fast crazy tradings ?
It is time to reverse this financial situation .
HOW :
Let's start by investing long in gems or potential gems .
Let's focus on selected (future) winners, don't let us be diverted .
I encourage everyone who is interested in such strategy to give out their best stock (gem) DD for sharing and profit to all people of same Goal.
WE CAN DO THAT ! making PROFITS and PROFITS .
We can't fail if we are committed to turn things better together with our best will.
Let's Pick STRONG ones And go LONG now!
.One of most important rules: Once a stock is virtually picked up, the position should be bailed out if ever the price closed -50% below the entry price (Capital preservation ! ).
.Please understand the IBox picks classified here under :
IBOX picks are categorized PER RISK type :
============================================================
-TRADE-TO-WIN : short-term plays .
-AGRESSIVE : Companies with a hot products ready to deliver huge revenues etc...
-LONG : A good position to own for long haul .
-LOW RISK : Core Long plays with Lower risk but good reward expected : strongly suggested to hold them before getting interested by other more risky stocks picked up in Ibox
-Venture Capitalist : Stake in early/mid-stage products development : fit for the Extra dollars you have for a possible funny surprise by holding them long as they could be the lucky speculative gems
-Special Situation : Shell R/M rumor, etc ...
=============================================================
Most Recent IBOX Alerts : (Note : in this section, stocks currently/still in play are those shown with charts )
.31-Jan-2014 post##10971 SELL STPFQ (=STP) 0.60 ('Trade-to-win') .
.31-Jan-2014 post##10970 BUY CARV 11,33 ('Agressive' list).
.27-Oct-2013 post#10946 SELL APOL ('trade-to-win' position ) at opening bell on 28-Oct .
.01-Oct-2013 post#10945 BUY STP ('Trade-to-win') at 1.79 .
.30-Sep-2013 post#10944 SELL FB ('Long') 49.97at opening bell on 2nd Oct.
.30-Sep-2013 post#10943 SELL MCP ('Trade-to-win') 6.57 at opening bell on 2nd Oct.
.20-Sep-2013 post#10940 BUY EGLE ('Agressive' list) 6,96$ at opening bell.
.09-Sep-2013 post#10932 BUY HASC ('Venture Capitalist' list) on Monday 09 SEP at opening Bell.
.23-Aug-2013 post#10927 BUY FB ('long' position) at 40.10 .
.17-Jul-2013 post#10890 BUY RAX ('Long') @ 43.90 .
.16-july-2013 post#10888 Sell STP @1.55 ('Trade-to-win' position)
.21-May-2013 post#10885 BUY STP ('Trade-to-win' position) 1.04 .
.15-May-2013 post#10884 BUY APOL ('trade-to-win' position ) at 20.83 .
.10-May-2013 post#10881 Sell CNQR ('Long') 81.45. +19%
.10-May-2013 post#10880 Sell GMCR ('Long') 75.9 .+41%
.10-May-2013 post#10879 Buy MCP ('Trade-to-Win') 6.73 .
.11-Mar-2013 post#10871 BUY GMCR ('Long' position) 53.75 .
.22-Feb-2013 post#10869 BUY IBCP ('Long' position) $6.90
.16-Jan-2012 post#10846 Alert Buy RIMM ('long' position) 14.99.
.11-Dec-2012 post#10842 Alert: BUY CNQR ('Long' position) at 68.30.
.09-Nov-2012 post#10837 Alert: Sell OPNT ('Long' position) 41,x at opening bell.
.22-Nov-2011 post#10820 Sell ABCW ('long' list)at .38 now
.03-Nov-2011 post#10819 Buy OPNT ('Long' position) at opening bell on 04-Nov-2011.
.03-Nov-2011 post#10818 Sell LVLT on friday 04-Nov-2011 at opening bell.
.03-Jun-2011 post#10807 Sell FCEL (1.76) on monday 05-june-2011 at opening bell.
.03-Jun-2011 post#10807 Sell TIBX (26.55) on monday 05-june-2011 at opening bell.
.31-May-2011 post#10806 BUY FCEL ('venture capitalist' list) at 1.87
.23-may-2011 post#10805 Sell PLUG ('venture capitalist' list) at 3.15.
.13-may-2011 post#10804 Buy LVLT ('Agressive' list) 1.94 on friday 13-may-2011 at opening bell.
.03-apr-2011 post#10802 Sell MERR ('trade-to-win' play) at opening bell on 04-apr-2011.
.18-feb-2011 post#10767 Buy MERR 3.90 ('trade-to-win' play) .
.16-feb-2011 post#10761 Sell OCZ ('long' list) 8.02 at opening bell on 17-feb-2011.
.05-feb-2011 post10699#Buy ABCW ('Long' list) 1.69 on monday 07/feb/2011 at opening bell. (Update post#10803 :13-may-2011:Changed from 'Agressive' to 'Long' strategy)
.05-feb-2011 post10699# Sell IBCP ('trade-to-win') on monday 07/feb/2011 at opening bell.
.01-feb-2011 post#10667 Buy TIBX (''long'' list) 23.96 at opening bell on 02-feb-2011.
.01-feb-2011 post##10666 SELL RVBD+SELL RDWR:(''long'' list) at opening bell on 02-feb-2011.
.24-jan-2011 post#10606 Sell ABCW ('Agressive' list) 1.35 at opening bell on 25-jan-2011.
.24-jan-2011 post#10604 Sell LEE ('long' list) 3.05 at opening bell on 25-jan-2011.
.24-jan-2011 post#10603 Sell SODA ('low risk' list) 37.63 at opening bell on 25-jan-2011.
.24-jan-2011 post#10598 IBCP ('trade-to-win' play) : Set (protective) stop loss 2.6$ .
.19-jan-2011 post#10516 Buy PLUG ('venture capitalist' list) 0.99 at opening bell .
.19-jan-2011 post#10515 Buy IPCI ('long' list) 5.25 at opening bell .
.18-jan-2011 post#10510 : Sell SRZ 7.7 and Buy LEE 3.25 ('long' list) on 19-jan-2011 at opening bell .
.14-jan-2011 post#10398 Sell XOMA ('venture capitalist' list ) 5.78
.12-jan-2011 post#10374 Buy OCZ ('long' list) 7.23.
.11-jan-2011 post#9962 SODA moved to 'low risk' list from 'venture capitalist' list.
.08-jan-2010 post#10308 Sell CA:CTE (CTEFF) 0.58 at opening bell on 10-jan-2011.
.08-jan-2010 post#10307 ABCW moved to 'Agressive' from 'Long' list.
.08-jan-2010 post#10306 Sell DRL 1.56 and Buy IBCP ('trade-to-win') 2.45 on 10-jan-2011 at opening bell.
.07-jan-2011 post#10295 Buy SRZ ('long' list) 6.89 .
.03-jan-2011 post#10229 Buy DRL ('trade-to-win') 1.51 at opening bell on 04-jan-2011
.27-dec-2010 post#10185: Sell IBCP 1.49 ('trade-to-win') .
.23-dec-2010 post#10166 Buy XOMA 5.63 ('Venture Capitalist' list) .
.20-dec-2010 post#10119 BUY IBCP 1.51 ('trade-to-win' list) at opening bell 20-dec-2010.
.13-dec-2010 post#10042 BUY RDWR ('Long' list) 39.82 at opening bell 13-dec-2010
.13-dec-2010 post#10041 Sell BIDU ('Long' list) 108.19 at opening bell 13-dec-2010
.23-nov-2010 post#9996 Sell ZLC ('long' list) 2.99 at opening bell on 24-nov-2010.
.09-nov-2010 post#9975 Sell MTCEF ('Venture Capitalist') 0.466 at opening bell on 10-nov-2010..
.08-nov-2010 post#9962 Buy SODA ('Low risk') 32.65 (moved from 'venture capitalist' see post#10354).
.03-nov-2010 post#xxxx Sell AIB ('long' list') 0.96 .
.22-oct-2010 post#9905 Buy MTCEF ('Venture Capitalist') 0.38.
.22-oct-2010 post#9905 Sell ANMCF ('Venture Capitalist') 0.97.
.15-oct-2010 post#9891 Sell MIPS ('long' list) 9.88 at opening bell on 18-oct-2010.
.29-sep-2010 post#9876 Buy AIB ('long' list) 1.58 .
.29-sep-2010 post#9873 Sell MIPS ('long' list) 9.79.
.27-sep-2010 post#9859 Sell FUQI ('trade-to-win") 6.06.
.24-sep-2010 post#9846 Buy MIPS ('long' list) 9.68 at opening bell on 27-sep-2010.
.24-sep-2010 post#9841 Buy ANMCF ('Venture Capitalist' list) 0.921.
.24-sep-2010 post#9840 Buy BIDU ('long' list) 97.12
.24-sep-2010 post#9839 Sell GGC ('long' list) 16.12.
.24-sep-2010 post#9838 Sell LGL ('long' list) 20.09.
.17-sep-2010 .24/09/2010 post#9804 Buy FUQI ('trade-to-win") 7.15 .
.30/aug/2010 post#9726 Sell HSCO ('trade-to-win') .0085.
.30/aug/2010 post#9725 Sell GFGUE .034 ('trade-to-win') .034
.30-aug-2010 post##9720 BUY GFGUE ('trade-to-win') at opening bell 0.018.
.26-aug-2010 post#9703 Buy HSCO ('trade-to-win') 0.015.
.26-aug-2010 post#9704 Sell LBSR ('trade-to-win') 0.108.
.25-aug-2010 post#9691 Buy LBSR ('trade-to-win') 0.1165.
.18-aug-2010 post#9661 Buy LGL ('Long' list) 16.00 at opening bell on 18-aug-2010.
.10-aug-2010 post#9634 Buy GGC ('long' list) 15.86 at opening bell on wed 10-aug-2010.
.10-aug-2010 post#9633 Sell LNG ('long' list) 2.74 at opening bell on wed 11-aug-2010.
.09-aug-2010 post#9622 Sell CYCC 1.59 ('Venture Capitalist') .
.09-aug-2010 post#9619 Buy CTE.V (TSX) (US otc: CTEFF) ('Venture Capitalist' list) at .25
.20-may-2010 post#9561 Sell MNI ('long' list) 4.
.15-apr-2010 post#9543 Sell CPE ('long' list) 6.61.
.12-apr-2010 post#9538 Buy CPE ('long' list) 8.25 .
.08-apr-2010 post#9534 Sell ASTC ('Venture Capitalist' play) at market opening on 09-apr-2010.
.07-apr-2010 post#9532 Buy ZLC ('long' position) 3.71 at Market opening on 08 april 2010.
.07-apr-2010 post#9530 Buy LNG ('long' position) 4.81 at Market opening on 08 april 2010.
.09-mar-2010 post#9492 Sell PEIX ('Trade-to-win') 1.94 at Market open on 09-march-2010..
.15-jan-2010 post#9458 Buy PEIX 2.4('Trade-to-win').
.13-jan-2010 post#9454 Buy ASTC ('Venture Capitalist' play) 2.83 at market opening on 14-jan-2010.
.13-jan-2010post#9453 Sell XJT ('Long' list) 4.28 at market opening on 14-jan-2010.
.13-jan-2010post#9450 Buy ABCW 1.16 ('long' list) =>upgrade to 'Agressive' list see post#10307.
.08-jan-2010 post#9446 Buy CYCC 3.18 ('Venture Capitalist' list).
.07-jan-2010 post#9440 Buy MNI 4.8 ('long' list).
.31-dec-2009 post#9418 Buy XJT ('long' list) 4.91 on 31/dec/2009 .
.31-dec-2009 post#9417 Sell LIZ ('long' list) 5.64 on 31/12/2009 .
.11-nov-2009 post#9379 Sell XJT ('long' list) 2.61.
.26-oct-2009 post#9310 Sell MNI ('long' list) $3.30.
.11-oct-2009 post#9267 Buy MNI ('long' list) 3.35 at opening bell on 12 oct 2009.11
.09-oct-2009 post#9259 Buy LIZ ('long' list) 6.43
.03-oct-2009 post#9231 Sell LIZ ('long' list) at opening bell on 05 oct 2009
.02-oct-2009 post#9229 Sell RF ('long' list) at opening bell on 05 oct 2009.
.02-oct-2009 post#9225 Buy XJT ('long' list) 2.85.
.24-sep-2009 post#9198 Sell UIS ('long' list) 2.55
.22-sep-2009 post#9175 Sell EK ('long' list) at opening bell today 22-sep-2009.
.21-sep-2009 post#9171 Sell SFI $3.26 ('Trade-to-Win' list).
.21-sep-2009 STEC: Sold at 29.66 triggered by Stop Loss $30 (post#9160)
.18-sep-2009 post#9160 STEC: Set 'STOP Loss' Sell on STEC at $30 gtc valid from 21-sep-2009..
.16-sep-2009 post#9154 Buy RVBD ('long' list) 10.565 (readjusted due to forward split 2:1 $21.13) at opening bell on 17-sep-2009
.16-sep-2009 post#9154 Sell VMW 40.74 ('long' list) at opening bell on 17-sep-2009
.16-sep-2009 post#9153 Buy RF 6.41 ('long' list) at opening bell on 17-sep-2009
.16-sep-2009 post#9153 Sell RBS 18.62 ('long' list) at opening bell on 17-sep-2009.
.16-sep-2009 post#9143 Buy SFI (''Trade-to-Win'' list) 2.72.
.15-sep-2009 post#9139 Sell ABK 1.65 ('Trade-to-Win' list) at opening bell 16-sep-2009.
.03-sep-2009 post#9103 Buy RBS ('long' list) 17.99 .
.27-aug-2009 post#9053 Buy ABK 1.75 (''Trade-to-Win'' list) .
.02-aug-2009 post#9052 Sell LEE 2.04 ('Trade-to-Win' list) .
.14-aug-2009 post#8982 Buy STEC 35.15 ('long' list).
.10-aug-2009post#8897 Buy LEE 1.88 ('Trade-to-Win' list)
.10-aug-2009 post#8965Sell AHC ('Trade-to-Win' list) 2.96
.30-jul-2009 post#8930 Buy AHC ('Trade-to-Win' list) 2.44 .
.30-jul-2009 post#8929 Sell LEE (Stop loss) 1.29 ('Trade-to-Win' list) .
.23-Jul-2009 post#8897 Buy LEE ('Trade-to-Win' list) 1.29 at opening bell on 24/Jul/2009.
.23-Jul-2009 post#8896 Sell GCI ('Long' list) 5.79 at opening bell on 24/Jul/2009.
.15-jul-2009 post#8880 Buy GCI ('Long' list) 4.5
.15-jul-2009 post#8881 Sell VODG ('Long' list) 0.19.
.15-jul-2009 post# 8879 Sell CROX ('Long' list) 3.14 .
.06-jul-2009 post#8872 Buy EK ('long' list) 2.89 .
.06/may/2009 post#8793 Buy CROX 3.61 ('Long' list) .
.06/may/2009 post#8792 Sell BGP 2.89 ('trade-to-win')
.05/feb/2009 Post#8520 SELL TGC ('Long' list) 0.51 at opening bell 06 Feb 2008.
.10/01/2009 post#8372 BUY BGP ('trade-to-win' play) 0.78 at opening bell on 12 jan 2009
.09/01/2009 post#8369 Sell CADM ('Venture Capitalist' list) at open on monday 12th jan 2009
.08/jan/2009 post#8360 BUY LIZ ('long' list) $3.76
.23/12/2008 post#8278 Sold LEA @1.20 by Stop loss .
.16/12/2008 Post#8219 Sell EBS ('Long' list) at opening bell on 16 dec 2008.
.11/12/.2008 post#8187 Sell CPE at 3.60 ('Trade-to-win' play) .
.10/12/2008 post#8154 Sell INGA 7.16 (EuroNext Amsterdam) ('Long'list) .
.09/12/2008 post#8143 Sell NFP at 3.5 ('trade-to-win' play ) .
.09/12/2008 post#8142 Sell PDGI 0.88 ('trade-to-win' play ) .
.08/12/2008 post#8127 Sell ZIXI ('Low Risk' list) 1.33 .
.08/12/2008 post#8124 Buy UIS ('Long' list) 0.598.
.07/12/2008 post#8115 Buy CPE (''Trade-to-Win'' list) in in Pre-Mkt or at Open with limit max $1.45
.01/12/2008 post#8086: Sell SIRF ('Long' list) at 1.27.
.02/12/2008 post#8098 Update : Move NFP from ''Long'' list to 'Trade-to-win''
.01/12/2008 post#8085 Buy NFP (''Long'' list'') 1.80 .
.20/11/2008 post#8062 Sell PRSC (''trade-to-win'') 1.36 at opening bell on 21 nov 2008.
.17/11/2008 post#8046 Sell Buy CAR ('Long' list) 0.88 at opening bell on 18 nov 2008.
.14/11/2008 post#8037 Buy LEA ('Long' list) at 1.32.
.11/11/2008 post#8030 Buy EBS ('Long' list) 20.92 at opening bell.
.11/11/2008 post#8029 Buy SIRF ('Long' list) 1.48 at opening bell.
.11/11/2008 post#8028 Buy CAR ('Long' list) 1.50 at opening bell.
.11/11/2008 post#8027 Sell LNG ('Venture Capitalist' list) 3.15 at open .
.11/11/2008 post#8026 Sell APPY ('Low risk' list) at open.
.11/11/2008 post#8025 Sell FMD ('Long' list) at open .
.10/11/2008 post##8019 Buy PDGI (''trade-to-win'') 2.14 .
.07/11/2008 post#8012 Buy PRSC (''trade-to-win'') 2.76 .
.04/11/2008 post##7962 Sell DTG 1.88 ('trade-to-win' list)
.04/11/2008 post#7953 Buy LNG (''Ventture Capitalist'' play) 4.84.
.03/11/2008 post#7949 Buy DTG ('trade-to-win' list) 1.96.
.30/10/2008 post#7909 Buy INGA (ING group Euronext Amsterdam) now 6.99 Euro 'Long' list.
.28/10/2008 post#7898 Move FDM to 'Long' list from 'Agressive list'
.19/09/2008 post#7634 Sell DSL ('trade-to-win) 3.08 at market .
.19/09/2008 post#7633 Sell ABK ('Agressive' list) 6.25at market .
.08/09/2008 post#7456 Buy DSL (''Trade-To-Win'' list) 2.79 at opening Bell
.25/08/2008 post#7360 Sell FLMP ('Venture Capitalist' list) on tuesday 26 aug 2008 at opening bell.
.18/08/2008 post#7327 Sell ULGX ('low risk' list) 1.70 now with a little profit.
.18/08/2008 post#7326 BUY FMD ('Agressive' list) now at 4.25..18/08/2008 post#7316 Buy ABK ('Agessive' list) 5.82 at opening bell on monday 18/08/2008
.....
.....
.12/04/2008 : I-Box Q4 2007-Q1 2008 summary :
Read http://investorshub.advfn.com/boards/read_msg.asp?message_id=28442051
http://investorshub.advfn.com/boards/read_msg.asp?message_id=28441733
...
.30/09/2007 : I-Box Q3 2007 summary :
Read http://investorshub.advfn.com/boards/read_msg.asp?message_id=23283720
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.22/07/2007 : I-Box picks Relifted for Q3 2007 : new list 'TRADE-TO-WIN plays'
Read http://investorshub.advfn.com/boards/read_msg.asp?message_id=21451200
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.01 April 2007 : end of Q1 2007 Review & Relifting .
Read http://www.investorshub.com/boards/read_msg.asp?message_id=18389853
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Some stuffs on watch :
EXTRA : HAVE A GLANCE AT THE MARKET : ETF trackers :
http://www.bloomberg.com/markets/etfs/index.html
or see post#6900 (etf+symbol)
Business Sectors :
XME: MET & MIN / XOP: OIL&GAS EXPLOR
CA:CLO:Claymore Oil Sands Sector
TAN: Solar sector :
KBE: BANK ETF / IYR: Ishare Real Estate
Indexes ETF's:
DIA: DJIA ETF
INP: MSCI INDIA / FXI: CHINA ETF
EWZ: BRAZIL index / ECH: Chile ETF
Other indexes : CURRENCIES :
FXE: ETF EURO-USD / FXF : ETF CHF(Swiss)-USD
FXB : ETF GBP-USD / FXY: ETF YEN-USD
FX: CAD-USD / FX : AUD-USD
.Other indexes: COMMODITIES - METAL - ENERGY :
DBC:DB COMMOD / SLX: Steel VECTOR
GLD:Spdr GOLD / SLV:Silver Trust
JJC: Copper ETF / PTM: Platinum ETF
USO : Oil ETF tracker / UNG : Natural Gaz ETF
DBE: DB ENERGY / KOL:MARKET COAL VECTOR
.Ultra speculative trackers :
[ More ETF's:
-Currency:
Ultra Euro ETF (ULE) / UltraShort Euro ETF (EUO)
Ultra Yen ETF (YCL) / UltraShort Yen ETF (YCS)
-Commod:
Ultra DJ-AIG Crude Oil ETF (UCO) / UltraShort DJ-AIG Crude Oil ETF (SCO)
Ultra Gold ETF (UGL) / UltraShort Gold ETF (GLL)
Ultra Silver ETF (AGQ) / UltraShort Silver ETF (ZSL)
Ultra DJ-AIG Commodity ETF (UCD) / UltraShort DJ-AIG Commodity ETF (CMD)
Energy Bullish 3x (ERX) / Energy Bear 3x (ERY) ]
DUG:UltraShort Oil&Gas / UYG: ULTRA (Bull) Dow Financial ETF :
SDS: UltraShort S&P50 / SKF:UltraShort FINAN
FXP:UltraShort CHINA / EFU: SHORT the EFA etf
.Mineral/oil/Nat Resources Quotations :
Oil NYMEX Crude :
Gold / Silver :
Copper / Coal :
Platinum / Palladium :
Uranium :
IBOX Selection on watch for a good entry :
N/A
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Stocks in play by I-P :
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