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I've traded this really poorly, got caught chasing on both sides and have taken a beating.
Downgrades coming in by the minute...ullman coming out with generally weak statements trying to prop up pps...I'd like to know what you think is going to take this pos to $13 by next week.
This pos fading under 10 by eom
Switched sides of the trade, that was a feeble attempt to prop the pps by ullman. Bought those jan 2015 $5 puts
Ask getting slapped, what a morning so far.
I wasn't in this until yesterday so I'm not talking about the past. This is set up for a nice squeeze, that's all.
Boom...shorts getting ripped today.
Popping over $10 now, what's up?
At this point, news of debt raise rather than equity would pop us over $11 with all the short interest. I thought we bottomed for the time being and loaded up on options when it was trading close to $10. We should here from jcp soon, one would hope anyways.
Loaded jan 2015 $13 calls today. Went by the local mall, jcp had more traffic than macy's.
Any news, I can't find anything new...athens is up 1.5% nbg down today.
Your pumping does nothing to the share price...so why post false information? If it helped I would say go for it but it doesn't...it only confuses someone new to the stock or trading and displays your ignorance.
I agree. Some of the posters here are full of shi*.
Looking great today! I'd love to see greece break 1000 soon. Stress tests coming up (anyone know the date?) followed by german elections. 5.50 by new year would be nice.
I agree. Some of the posters here are full of shi*.
Looking great today!
Good call, its down .09 at the moment...
Greek markets closed when earnings were released. Should continue upward trend tomorrow.
I wouldn't expect that much volatility now...there was much uncertainty based around recap or not at that point in time. I would be more than happy with $5 after german elections and us debt ceiling negotiations. Good luck
I'm holding a lot of $7 leaps so I want this thing to move...but some of the price predictions I'm seeing on the board today seem rediculous..lol. I hope you all are right but I doubt it in the short-term.
Hopefully 3's are history!
I feel pretty good about q2, we will find out soon. Good luck folks.
Thursday morning
What's your take on q2 earnings? Been reading the board on and off for a few months...you're on the ground over there, hopefully things turn around sooner than later for you guys..
Been watching since before the reverse split. Loaded 550 $7 leaps. Earnings next week will be interesting, hoping for a nice beat.
Sellers drying up, looking good.
Looking good so far after earnings pop...consolidating before next leg up. Lets hope she holds up with the overall market bleeding on a daily basis...
Gap filled. Purchased 50 contracts mar 2014 $20 call.
If you sold or got stopped out, you will have to buy back at these levels, higher, or watch from the sidelines...imo.
1 hr ago - topeka raises price target from 25 to 33.50
Loaded 30 contracts- jan 2015 -$40 calls -
Lower highs lower lows...going down!
Double top and drop
Loaded up...hopefully we will wake up to some $$$...ddd is ready for a breakout with the right earnings...squeeeeze
Me too, got in today 16.39
Dumped yesterday .49... good luck
Doubt it...most sellers are out...
Turn this thing loose already...loaded more today...boat is full and ready to sail.
I sold my other half this morning in high 12's...waiting to see what she does next...
Less than 5m