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Please show us proof of these 'bought' 504 shares that were dumped.
I would check with the IR for further guidance before assuming this was the case.
Argonath
Ahhh....
The end of day, flipper dump is on.
Must be nice to spend ones day SCRAPING for that 5%.
Im clueless.
But hey, why is silver down to $12.95 when most dealers I know are OUT of stock.
Because the game is played with paper, and most people dont demand an actual accounting for what they own in the market.
Aye.
I think when the RM news hits, alot of people are going to be rushing to get in, but shares will be tight as they are now.
Im surprised actually there isnt more interest, BUT... AUMN doesnt post news everyday, so they are quite under the radar.
I doubt if most of these 'sells' are just that.
One of my small buys in the last hour showed up as a 'sell', and dropped it down.
Little MM tricks to try to scam the flippers so they can get shares.
How can Darth Vader be in the bottom 50?
AFI said that Darth Vader was the pre-eminent villain in all of cinema.
A$$-Clowns.
On an AUMN note, I noticed that even though volume is low, the MM's are dropping this when they see fit on miniscule trades.
It looks like 15 buys today, and 1 sell... and were down to 33/35 on the bid.
Where is Admiral James T. Kirk, or Mr. Spock?
The list has some good ones, but overall... garbage.
hehe.
Sep has already been a good month. EXPH is starting to move for me, AUMN has massive potential, my currency trading is kicking into high gear with a new system, and I just got a great deal on an investment house.
and its not even the end of the first week in Sep. :)
No worries, that was simply an observation.
Im ahead on this, and very content to sit and watch the fun. :)
No trades in 2 days in fact.
Ummmmm....
Just because you have a 504 open, doesnt mean you actually USED it.
They had it open in the necessity to get capital from the selling of shares.
So, up until today, they used it for a small amount, but bought back MORE shares than they issued.
Do the DD and you will see.
Im hoping that Pink investors understand the ramifications of what happened today with the credit line.
I dont think there is a SINGLE thing that could SCREAM legitimacy than this... and it validates all the contracts that they have received, PR'd, and are working on.
If we could get the SAME interest and volume that ONMC did when it ran to .17 from sub-penny...
Imagine... far less float, far more validated contracts, auditing and uplist in progress, and a short position that is at least 10% of the the float.
Its not a matter of cheerleading here... its a matter of awe in the fact that we have a Pink that is doing what VERY FEW have ever done at this level.
Bank financed capital.
800K for me.
If Clayton is Drake, and you have spent 2 years posting about how bad Clayton is.
Why do you still own stock in this company?
Perhaps Sky-King should call him ASAP about an R/S.
Argonath
Uh oh....
Hurrican in the gulf... blame Clayton.
Banks are failing... blame Clayton.
Food prices are up... blame Clayton.
Russia attacks Georgia... blame Clyton.
lolololololololololol
Its sad that every other post you make on this board is, 'Clayton...."
And youre going to GET that information from a bboard?
Im impressed... NOT.
My NONE turned into XLPI about a week ago.
My NONE which represents XLPI Global still is showing as NONE.
The new management has had to spend time going over ALL the old contracts, leases, business plans, etc...
It takes awhile, and I suspect BEFORE they move forward with their OWN business plan, they NEED to ensure that everything from the past is airtight, and up to date.
Better to get THAT striaght first, and THEN worry about the PPS.
its just fuel for the fire.
This stock is massively shorted... and the only REAL thing that will force them to cover is the eventuality of financials, followed by an uplisting.
Trust in the fundamentals... if people are fearful on the day to day PPS movement, then they are too emotional to be playing the Pinks, and no one here can help them.
A little bit MORE than yours saying Clayton sold 1.5 million today.
4.55 million, averaged down to .0031.
And when I last spoke to the previous IR Team before their contract was lapsed, they specified that the new team has been going over ALL contracts and business plans, and creating a NEW business plan.
Thus, the silence during the transition.
"The stock market is a great tool to transfer money from the impatient to the patient." - Warren Buffet
No, I dont have to justify ANYTHING at the moment. Im not the one making false statements here.
YOU show me the evidence, link, proof Clayton was selling, and selling TODAY as you specified earlier this morning.
As for you holding an average of .012. That is YOUR burden to bear. You chose not to sell, or to average down. Buying, selling, and ownership is NO ONES responsibility or blame but your own.
I guess its ok for you to give unsubstantiated information (Clayton Selling) and not be held accountable to the board, and when I challenge you to provide the facts, you give us two posts that skirt the issue entirely.
People KNOW youre stance on DKGR... and its NOT for the welfare of the company, and the welfare of shareholders.
Please show us the proof that it is Clayton selling?
ANYTHING would be better than .0001/.0002.
So I wouldnt bitch about ANYTHING that might raise the PPS... even temporarily.
"If anyone that owns this or any subpenny stock had any idea what "Due diligence" they wouldnt own it."
What kind of credibility should we have of you who posts on a bboard for a stock they beleive no one should own?
That was an interesting dump of over 100K shares.
I agree.
Ive iggy'd the negative influences on the board. I recommend every legit shareholder do the same and stop responding to them. They are playing games with posters, and the more we respond to them, the LESS we focus on the company.
"i still don't understand why people would post such negative things about a real company!"
Because they have an agenda that is not in the best interest of a company, or its shareholders.
Because...
There HASNT been enough volume to make a difference.
How many times over the past 3 months have we bought at the ask, ONLY to have someone drop it down on 5-20K share trades?
If the trend is down for the moment, there is no point in 'painting' the ask because it has no sustainability. Therefore, when I know the PPS is going to be down in a range for a long time, Im going to provide Bid Support and get more shares at the lower price.
I win both ways... if it NEVER comes to me at my Bid price, then I win due to a higher PPS. If it does come down, I get more shares and have no averaged down.
You need to look at the longer term trend here, and not what was painted only yesterday.
The have onsite an auditor who is figuring and validating fianancials so they can uplist to the OTCBB.
I would suspect they will post the financials before the process, and it will indeed be nice to see profits. That should draw 10x's more interest than contract PR's.
Just IMAGINE what this stock will do once Finacials get posted.
No worries.
You got my email address anyway bro.
I bought over a million, and I know of someone who bought over 5 millon recently.
Look at the volume... there ARE NO SHARES to cover these buys.
Price should not be dropping on a few thousand share 'undercut'.
With that being said, I have some ideas (guesses) what may occur with the new management.
From what Clayton's letter implied, the NEW management crew has ALOT of experience with mining and mining companies. So... do we have a merger in the future? I would love to see some sort of acquisition and/or merger with a symbol change and CRUSH anyone holding this down.
If we have the leases, a merger of a number of micro mining companies would make for a powerful entity.
Who knows though... you and I MC seem to be the VERY FEW who actually do DD and spout off worthless tripe here.
With so little volume, movement, and communication from the company.
I just snicker at how much posting the 'other' side does to try to keep telling people who bad the company and stock it.
You figure after more than 2 years they would have moved on to a 'good' company.
Or would they... :)
it also might be shorts covering.
Heck, either youre going to cover at .0002, or youre never going to cover at all.
First and .0018, and then a .0017 today.
Makes you wonder if they have been HIDING the bids for a long time now.
This company has already issued a Press Release that the short position a few weeks ago was verified to be 44 million.
Now... you dont issue that PUBLICALLY unless you KNOW there is a short position validated.
You tell me... 44 million is MORE than 15% of the float... you think the shorts WANT this to climb so they will have to cover?
http://biz.yahoo.com/iw/080728/0419758.html
Why do you think there are SO many posters whos interest does NOT coincide with the welfare of the company, and the well-being of shareholders?