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I am having the same issue. If I try to Buy or Sell, it says the symbol (AEPTD) is not valid.
Now, TD shows a Market Cap of only $26,000 and the OS at 83,800?
$26,000? I'm sure a few investors here have more than that invested, individually. These numbers are not adding up!
TD Ameritrade now shows the Market Cap at $8.3 Billion and the OS at 20.6 billion shares. Um, what?
That was mine, and my purchase order was for 10,000 shares...... I'm pissed it only filled for 900 shares. Who wants to sell only 900 shares???
I'm trying to keep adding to my position here.....
I bought some Apr 9 12.5 and Apr 23 13.0 Calls yesterday. So far so good.....
SP is at $0.75 right now, so it's up 87%? Hmmmm.....
Um, not even close. Try again tomorrow? Friday's are tough though...
So a greater chance that this tanks hard after the R/S rather than an uplisting to OTCQB and SP rises?
What are your thoughts on tomorrows R/S? Going to get heavy dilution after the R/S or you think this will actually climb, as SP will be closer to a dollar...?
Yeah, a day where the SP stayed too high to buy and too low to sell.....
Waiting for more info on the original contract given to Oshkosh AND more info on that separate additional contract possibility.
Spot on.
We are now down 56% from our high of 0.0181 just two weeks ago. "Talk" of contracts is fine, but weakening is actually real....
So do we see this going below $3, or do we see this rising after ER?
Agreed, and especially not on Investor Day.....
So I see a couple schools of thought here.
1. The SP will keep dropping lower and lower before they do an R/S (if they actually go through with the R/S), and then after the completed R/S, the SP will continue to fall further and further.
2. The SP will rebound from today's drop and climb up to $14-15 before the proposed R/S, and then after the R/S, the SP will continue to climb with greater institutional ownership/interest.
Which is the more likely scenario?
Is NOK going to see $5+ again before 2025? This is unbelievable....
So the 2020 results were much better than 2019 (YOY), and it still tanks. Is there no stopping the bleeding?
And they can, because they probably own over 50% of the shares. Not a large position for them to hold..... super easy to manipulate. Such a low/cheap marketcap too....
So, there's no way it keeps going lower after tomorrow? Next week will see gains instead of continuing the trend down?
This will trickle back down under $1, and by then, they will be able to do another R/S. Doesn't matter what they've said last year or what they will say. Seen it way too many times with TOPS, and basically all Greek shippers...
Is there any chance Q1 ER can stop this torrential downfall and keep this from going sub $10? Yes yes the whole sector is down and down big, but do we see any immediate/near term catalyst to turn FCEL around?
Giving back anything and everything she gained in the last month. Will it stop, or continue to bleed into oblivion?
Only one, but it hurt enough. Hoping we get some real news and some real contracts soon...
Besides Truforma, what else could get us over $3?
I bought some more a week ago at 0.0242, and it's dwindled ever since. So I'm in the Red pretty good.....
I guess everybody moved on here. No more chatting. No more pumping. No more action. SP is dwindling along.......
Any thoughts on the upcoming Q4 numbers? A beat or a miss?
Hope so. This was $40 not that many years ago.....
Been here over 3 years, and I am sitting on shares with a SP of $0.091...... so I definitely want this to blaze some trails.
Nokia Gets 3-Year Deal From Globe Telecom for 5G Rollout in the Philippines
4:16 am ET February 24, 2021 (Dow Jones) Print
By Dominic Chopping
Nokia Oyj said Wednesday it has been selected by Globe Telecom Inc. to roll out its fifth-generation network in the Philippines in a three-year deal.
Nokia will upgrade Globe Telecom's existing 4G network, as well as expand the geographical reach of its 5G network at more than 1,000 sites in the Philippines.
The deployment will cover Mindanao, the country's second-largest island, and the Visayas, and will begin in the second quarter of 2021 with completion expected in 2023.
Write to Dominic Chopping at dominic.chopping@wsj.com
(END) Dow Jones Newswires
February 24, 2021 04:16 ET (09:16 GMT)
8-K out yesterday, showing that the offering is done and closed. Anyone think this will start to rise now that the offering is over and done with?
Yes.... they are OSK. Tough day here....
Wow, just wow. Is that all she wrote? The whole contract went to Oshkosh?
I bought 10 more myself...... been trying to get some 2022 Call options as well, but my price didn't hit...... would be looking sweet now...
Those Insider sales were a no-brainer. I would think anyone and everyone would have cashed them out for a big payday right away. Doesn't mean they don't believe in the company or the stock, in my opinion....
UPDATE: Palantir co-founder Stephen Cohen makes over $50 million from stock trades
10:55 am ET February 23, 2021 (MarketWatch)
Print
Tomi Kilgore
Fellow insiders Matthew Long and Ryan Taylor also make millions from selling shares acquired through the conversion of derivative securities
Palantir Technologies Inc. co-Founder Stephen Cohen has netted more than $50 million from trading the data integration and software company's stock, as he flipped the 2 million shares he acquired for nothing through equity grants.
Fellow company insiders Matthew Long and Ryan Taylor also sold netted millions from similar trades.
Palantir's stock (PLTR), which went public on Sept. 30 (https://www.marketwatch.com/story/the-palantir-non-ipo-5-things-to-know-about-the-formerly-secretive-software-companys-direct-listing-11601351442), slumped 5.5% in morning trading Tuesday. It has lost 32.2% since closing at a record $39.00 on Jan. 27.
Palantir disclosed late Monday in a Form 4 filing with the Securities and Exchange Commission that Cohen (https://investors.palantir.com/governance/executive-management/default.aspx), who is the company's president and secretary, and a board member since 2005, acquired 2 million Class A shares at $0 on Feb. 18 through the conversion of derivative securities.
He turned around and sold 1.15 million shares on the same day, 550,000 shares on Feb. 19 and 300,000 shares on Feb. 22, for total sales of 2 million shares in the open market. The weighted average price of the sales was $26.8020, for a value of $53.60 million, according to a MarketWatch analysis of SEC data.
After the trades, Cohen owned 203,647 Palantir shares, or a small fraction of the 1.74 billion shares outstanding as of Nov. 6.
Also late Monday, the company disclosed that General Counsel Long acquired 503,864 shares at $0 on Feb. 18, through the conversion of derivative securities. On the same day, he sold the same amount of shares at a weighted average price of $25.0962, which valued the shares at $12.65 million.
Also on Feb. 18, Chief Legal and Business Affairs Officer Taylor acquired 218,255 shares at $0 through equity grants. He then sold 218,255 shares at a weighted average of $25.1680, for a value of $5.49 million.
The company said all of the insider trades were made under pre-existing 10b5-1 (https://ecfr.federalregister.gov/current/title-17/chapter-II/part-240/subpart-A/subject-group-ECFR271f57d9adc8b47/section-240.10b5-1) trading plans.
Palantir's stock has rallied 25.8% over the past three months, while the S&P 500 index has gained 7.6%.
-Tomi Kilgore; 415-439-6400; AskNewswires@dowjones.com
Uh, what has happened here? Zero (0) volume today.....
Any speculation on a surprising positive, estimate-beating Q4 and 2020 Overall results?
Pretty flat/dull here lately.
F starting off nicely today.
Quiet here today. I was hoping to get quite a bit closer to $12 today....