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Nice chart for sure. Looking like a bottom bounce play. Thanks will keep an eye
WATCH: SVFC, MFST, WSHLY, UMAX, AZFL
OUT: ACRS (decent profit too bad didn't last), SANP (red but not much),HCTI (good profit),
GNPT .0008, .001 and .0015 are key resistance to watch for if playing the flip
ANDI hopefully that Andiamo luggage is not the RM I have been waiting for. Doubtful but the PR coincident is spooky. However, reading everything, I think the luggage Andiamo was hoping to ride on ANDI PR to get more eyes on their Fundraising campaign. No such thing as bad PR. Got me to look and few other shareholders.
ANDI Oddly just noticed the other ANDIAMO (luggage) keep on releasing PR on the same DAY $ANDI release their PR or filing. This is really wtf. And to be honest, why does a luggage company even PR when they are not even a public company. And to be on the same day??? Shouldn't they be emailing customers with catalog not PR. Make no sense
GNPT bought 1.5M. Total 2M. Good thing for the dip. AVG moved back down to around .00065
ARCS running nicely. Too bad I didn't bought much. Only 400k but still can't complain. Good return so far. It doesn't seem like it will stop soon.
ANDI SS # are very confusing and misleading. Not honest info, imo. O/S was already at 1.5B end of July 31st but when they did a filing, they update it to be 1.3B end of July while end of Oct is 1.5B.
The interesting and funky one is the float. It was MAX at 1.38B or 1.48B end of October. Oddly, From Oct 31st to Jan 5th, it's now at 1.58B 100M+ sold between Oct 31st to Jan 5th.
Unless there was only insider at the 1s, then no way in hell they could have sold 100M++ in the last 2 month when total traded volume was roughly 50M. Their numbers don't make sense at all. Unless, I don't know how the float work. I always thought float mean sold into retail/public hand. Needs to be through the market while O/S is when company or insider convert shares. Hence, the O/S would be higher than float. Then once they dump those shares aka dilution, the float # would go up.
Still the trading volume just doesn't justify the reported # ever since july to now. # had been funky.
ANDI That explain why ASK was down to 35M and jump to 80M. The remaining 50-60M between float and O/S. These dumbass only care about selling .0001. Hopefully no one ever touch .0001 for them to get off their lazy ass and do a good job with ANDI not this cheap tactic
So they did manage to sell all those shares. From June to Jan 5th they sold 600M shares. No wonder. From 1B float to 1.6B float pretty much. That was what I was hoping for. Float still much lower for them to try and promote it. I was thinking around 1.3B float. Guess finra data was a bit off.
Well, there goes my gamble on it. If they sold 600M and didn't do ANYTHING for PPS or even solid promo then it's doom. They will just keep selling at .0001/2. Hope I'm wrong but it seems these pigs are happy with $60G instead of $600,000
Today is even worst for OTC. Man, OTC just keep on dying. $600M volume. Yesterday was $900M. Can't be going backward after 2nd trading day of the year. Well, at least those POS insiders for OTC will now have to go get real job since they for sure are not good at trading. They just kill the market.
ANDI no clue about it anymore. Will just forget it. CEO is wasting people time. No point of me stacking the ASk and try to sell. Not even worth it. Only idiots will stack .0001 and expect crazy buying pressure. They don't realized lower the ASk the more tempting for sideline to buy in. Oh well, done with ANDI until insiders wants to dilute and make it more interesting
QLTS great day for it. Hopefully this time it will hit multi.
GNPT Holding. Interesting trading
HCTI holding 1.5M, If it dip to .0015 area, then i will be out of it
BBRD got 200K for now lets see how it goes. Will add more when I do more DD into it and turns out good
GNPT sold 1M holding 500K. Avg pretty high .001. Looking to buy back that 1M at around .0003/4
NECA sold 2M. Holding 8M. Avg now .0003
GDAR sold 5M holding 2M since even Scottrade can't buy it. Fidelity could and I bet etrade could too.
On Watch: WSHLY, VIICQ, ARCS, GROC, MFST, GNPT, MCOA
NECA breaking out it seems. Hopefully won't be stuck at .0007/8 this time.
GDAR lets see if this time it will make me some money. 3rd time a charm.
So far doing great. CAPV BIEI and now HCTI. Hopefully ANDI will follow. Had a few POS picks but those just break even or minor loss. The gain just totally out weight it. I'm betting ANDI will run really good for peers in it now.
SBFM TPAC AVXL
ANDI R/M Finalized any moment now. They wouldn't even bother PR about LOI if they don't want to do anything. last few months very active compare to a year ago.
HCTI trading nicely again. Sticking to the 50% flip since that is the pattern. Now just holding free shares.
MCOA moving
QLTS looking for a bounce
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