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post 4395. are you serious? No short of 110 million at 4 or 5. It is solid dump by the CEO.
I sold at .0006 for a 1 tic loss. I made a few tics trading before so I am not angry. This is dumping at .0004. The Company does not care about the price even at this level. You guys and all your brilliant charts dont mean squat. I dont mean bid squat either. I like this company, dont get me wrong. It is going to .0002 soon. I bet you that the Q wont come today either. If I am wrong you guys win( no matter what the Q says). If I am right then you know why the Price guy says he is no longer the lawyer for the filings.
No lawyer alive would tell you this unless there is trouble. If you are holding here at .0004 then stay. What do you have to lose anyway?
here is the reality gents. The gig is up.
post #4371. Who is an idiot? The insider who is dumping every single share he can before we find out the Q is not coming? Wake up. I want a 20 bagger too but with the lawyer talking about his non involvement in the filing we are in zombieland.
If anyone here does anything positive from this point on in their lives then you will call the attorney mentioned constantly. Since a "third party" is doing the legal work on the Q then your calls wont distract him from his nonexistent job for EMLL reporting requirements. Demand to know the name of the auditor and the "new" attorney doing the Q.The statements here that the Q not being out is discounted is absolutely not true. If the Q does not come out in next hours then we are finished. I agree that after all the expenses and news releases nothing could possibly cause the company to go to the Pinks. If it does then the filing could not be done for legal or accounting reasons and the stock goes to zero bid. I dont believe this and like you want a 20 bagger now. I am in at .0007 average.
Call the number for the attorney constantly NOW.
capital IQ has been changing the date forward by one day every day. It was Aug 30 then 31 now September 1. The deadline to file is today or they go PINK.
retiremeealy. That is a problem. How can the this person say he has no involvement when he is legal counsel to the company and is essential to the filings of the quarterlies. What do you mean a "third party"?
Gold Dust in post 4346. Just say that Economics is determined by supply and demand. They get it. lol
What the Q saysis not even important anymore. Staying out of the Pinks is( putting it out today) No excuses. Everyone here must demand the attorney file today. Hollister and the TA have no say in the filing. The attorney, sect'y and director does. The Q will maybe show the way the CEO financed his way into getting at least 600 million( probably 700 million) shares into the float and if the conversion is at crazy prices, will show that too. All that tells us is that he was owed a certain amount of money and converted some of his debt to free trading, which he sold alreadyt. Then we calculate what he has left by subtracting the 700 million(assumption with 10% margin of error) sold from what he has yet to convert. If that number is massive then no matter what else we discuss here the company has determined to dump at these prices and will continue. If, on the other hand, the number reveals that he has little left then the stock goes to .01( 20 bagger) with another round of news releases.
If, for whatever reason the Q is not out by 5pm today then expect a massive dump this time from the speculators and MM's and the stock could reach .0001. There could be a lot of volatility today because of this. Today is the most important day of this stocks lifespan ever.
Is the Q really going to be out by 5pm on Tuesday? If not we go Pink. The company( no company even the worst) will drop to the Pinks on a missed filing at this beginning stage of the game. So, everyone in this room better call the auditor,attorney,TA,and Hollister the PA and demand answers before the disaster. If the Q dont come then we have a .0001 price and 700 grand in Asia playing Mah Jong with our money.
and another one tomorrow
They just bought another car
Why then would they hire Gerrard if all he reps are scams? I would do serious DD whenn any of his stocks moved exactly after and right before he was officially recognized as hired by the 3 pinks I followed him on. They all went North
The Q deadline is 7pm on Tuesday for submission.
I have my sell order in at .002 and going away for the week, good luck to all
400 bucks, yah, right, what was I thinking? To actually make money in this stock? lol
Hollister, go spend some money on investor shows and a website now, not in 2 weeks after the insider dumps another 500 thousand dollars worth of paper.
The Q arrives soon
I doubt you see the additional 400 million shares dumped up to last Thursday mentioned in the 10Q ( It is more like 7-800 a million float now). The minute the Q is out the dump volume will stop. So we have 1 or 2 more days of this. Toxic financing comes in many forms.
Nevertheless, the charts and fundamentals are with us.
Ther are only 4 industries that have a following
1) gold
2) alternative energy- not just biofuels
3) unique technologies
4) unique pharmaceuticals
No one has the abiulity to sit still for more than 5 minutes so the drug industry speculation has dropped alot since the old days. No one understands the technology of today as it relates to price movement of stocks and there is too much patent lawsuits and impossible to analyze revenue projections.
So, we have shiny gold mines and Al Gore stories galore.
We are in both these industries and at least have 1000 news letters following these industries too. So, how can EMLL lose then? The news release have been circulated to 20 million eyeballs. If Hollister(PR) will do here what he did with those other Pinks( we are otcbb again this week) we are going to .01 this year. That is a 20 bagger. I see .002 by September again. That is 400% from here. I also see another dump when we get to the .002 level.
.0025 looks right.
The 2 billion was just issued and cannot be sold for 1 year. That is August 2011
Founder, read all my posts.
The Sunoco thing is overblown as the pipeline goes through the facility and is owned by Sunoco. EMLL has access for distribution as does many other offtake points along that 1300 mile long pipeline. This is valuable to any fuel depot. I read about this facility in the annual report of Sunoco, also known as Sun Oil Logistics. Get a copy of the 10K for 2002 to see the history. After that it changed its coverage on the pipeline language. I did some DD on this.
The Q has to be out by Tuesday and probably will be out tomorrow. It may or may not contain any information on the toxic financing. If it does we will see what the conversion, if it is debt, is. Then we can decide how much was dumped( 7-800 million) at what price(.0007-.0008 average) and deduct that from the overall conversion number. This will tell you what is left to dump. I dont think the company will turn that number into OS unless they intend to dump to zero. As the company already got back all its shell costs and other acquisition and expense costs I think the dump is over.
The Q delay then was a tactic to dump while confusion in trading and got the last monies out of this market. So, we either go way up or .0001. The news releases came so fast as to equal the dump volume, too. This was classic and extremely obvious.
Yet, based upon everything, this is a very good gamble at .0004 or .0005 for the mid term( 1 month hold).
If the dump stopped then the stock goes to .002
This could be a ploy by the company to have VERT fool all and get you to inch it up to .006 then ...07 while they slowly dump. Nevertheless, I think that the dump is over and their costs have been recouped.If the stock gets hit again on Monday then the game is totally over. If it rises for just one day then we reversed and the dump is over. The Q will be out on Monday and the dump may come this time from stupid speculators who still do not fathom that the Q wont say anything more than the acquisitions as well as maybe something on the toxic financing. This toxic financing could be anything. If it is a convertible then I dont believe that all the debt has been converted. The company will do nothing at this point to help the price except what it has been doing all along without dumping more paper. That is PR and news releases. I would like to see more legit activities like a road show and advertising as well as paying for news letters.
The Q should be out on Monday as the Dumnp stops at about 800 million shares at .0007 average or $560,000 net the insider which is exactly his costs so far for shell, expenses of acq's and their current needs. No scam as far as I see and 800 million added to the 26 before equals 826 million float at .0004 or 800k float value
ENTI has Hollister as the PR NOT Price as the attorney. If I am wrong then please show me where you saw that?
OK so the only thing all you guys finally figured out was after 4000n posts the CEO was educated in a British institution.( read: "fortnight") Anything else?
Read all my posts over the last few days. I tell everyone I think the float is much larger than 292 and in fact believe that as of yesterday morning it is 692. Today it is probably 800 million shares. I hope the stock goes to .0001 or even zero bid and .0001 ask so I can really buy some. At .0001 or .0002 even a billion shares in the float is only 1 or 2 hundred thousand dollars. I have explained in detail what I think has happened. Everyone here agrees to what I have said. I know nothing more than you and personally I don't care if the company dumped( of course we all know that already ). The question is not what the Q says or does not say. The issue is not charts. The real question is if the news releases are even partly real then based upon even 3 billion shares OS is the stock worth 3 million dollars or not. That is .001 per share or about 3 times todays price at the low.
I guarantee you that I will get all I want at .0004 or better.
That is what I am talking about baby
I am buying again starting with 5 million shares at .0004 and will up my ante to 20 million shares all the way down to .0001. With an average .00025 I can hold for a year and reap the rewards. I traded out my position only for a 2 thousand dollar profit but I believe long term in this even if it has a 1 billion share float.
The last day for the Q to appear before the pink listing is August 30. That is Saturday. Therefore you will see the dump over at 4pm Friday( assume 1 billion shares at .0007 average-770k to the insider(s)) and the stock at between .0001 and .0003 bid. Then when the dust settles the PR will start again and the 1 billion shares at about .0002(read 200 thousand dollars) will go up to .002 or 2 million dollars in float. That is the game and always was. The flippers made money too. You either are an insider or an outsider or a flipper. '2 outta 3 aint bad'.
Smilin is right.
It is amazing how you are all obvious minute to minute let alone day traders. You know the company reads these messages and does not think it has much obligation to you since only a few have expressed real interest in 'investing' in EMLL. If you called the lawyer or or PR guy and actually asked them about the company they would maybe reveal something to you. Yet, again what does it matter if there is 692 million shares in the float? If there were 292 then the stock would be .003. no matter what the news. If there were 25( from the 96 before) then the stock would be .13 bid. The amount of money in the float is the key. We have 692 million shares in float at .0005 per share. The number is 350 grand. My cat can sneeze and the stock goes up 5 tics. It is better to have this liquidity( read 692m shares) then 292m. In fact if the stock goes to .003 then at 6 times this value(2 million dollars in float) you will have a real market. This takes real investors not you flippers. I bet every single last one of you flips out at either .002 or .0001.
complete nonsense that the 10Q will change anything. The Q does not have to show anything above the June 30th date. Even a material disclosure in the accounting notes of this financing that added shares to the float wont help or hurt the price as everyone has discounted that already. The reason this stock goes much higher is
1) great PR and more to come-why have we seen the volume? massive PR to the internet and media distribution, so far.
2) good fundamentals-in one month alone several deals announced
3) otcbb - disclosure
Regarding the previous post #3551, toxic financing is what happened when the float went from 26( of 92) to 692 over the past 2 weeks. We know this from the amended Nevada state filings and the 292 mentioned already. The Buy/Sell comparisons show the other 400. Shorts and flippers and day traders made up the entire 1.3 billion traded altogether then.
So, the concept that toxic financing is bad here is wrong. The float is valued at $360,000 at 692 million shares at .0006. That is cheap and the insider helped, not hurt the trading as well as recouped some monies as well as has some monies for expenses and future down payments on acquisitions.
The real issue is the speculation if the dilution will continue from today on.
what does anyone know about this oil terminal? Besides the news release
If Q does not show up by this night there is a problem. They know it. Therefor assume it is out and the 700 float figure is shown. Where do you think it immediately goes?( This is for the flippers-lol)
so if the # is 2.7 from 2.292 then 400 came into float. We all know this already. We all know that 292 was last weeks # and that about 6-700 is this weeks.( smilin is right. The question is if this is it for now. If not we are doomed. If so then a 600-700 million float is reasonable and this stock with proper PR will go to .003 with a quick run to .001