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News should hit next week and maybe even before market opens on Monday...hard to say, but get em' while they are cheap...10 minutes left.
Good job buddy -- I just rounded off my holdings with a buy at .0055 at the ask just now.
reality sucks in many ways, but I hope you hang in there, and good luck to you and BRZL holders, myself included of course. Management in BRZL looks extremely strong.
I sent a PM requesting info...such a tease!
Welcome Rainmaker. Good days ahead!
I have made my statements.
I will accept that I am really slick -- I just wish I followed my intuition better. Working on that!
Everybody is hoping for .008 --- makes me happy that I think we won't get there.
are you kidding?
I have more objective sources for ideas to consider but thanks.
It makes sense to me (that CWRN will buyback, especially at depressed prices), and I've done enough DD to know CWRN is an actual producer/revenue generator and will produce and sell more. I don't believe the buyback has started (or maybe has? I don't know), and there is more ammo to the bashers because CWRN is also motivated to keep the pps down for some time (they are bringing in revenue = no need to dilute)...the more shipments, the more income...can they manage to do all this and market forces push the pps down in spite of it? You think CWRN is going to complain, wanting to buy shares back, whatever happens to the little guys along the way? If they promote the stock by showing strength, before they buy, they will undermine their own interests.
I have to admit I can't believe how low the pps is. CWRN is such an obvious winning pinksheet stock (and why I didn't sell higher), and yet the pps free fall...it is something to behold!
I missed the April 25th date...is that where it is now? Is that the next date to miss so they can buy even lower?
Given CWRN's interst to keep pps depressed under these circumstances, IR's failure to provide substantial information or even hints at such, I suppose is understandable, yet frustrating to any except those who are fully loaded and ready to load the truck at these levels. I misplayed my hand on this one. For now I wouldn't expect CWRN to do much to benefit current shareholders, except those willing to wait it out for some time yet. Maybe this is just an elaborate gripe on my part, although I understand the rationale...
You have a good point about them having to be careful and so on, and I realize that CWRN is probably benefiting by this depressed pps because I do believe they intend to buy back shares to the extent that they are able (as they claim), after suitable allowances are made to progress with mining and so on...whatever monies used toward that end will be maximized the lower the pps, and I doubt they have any need to dilute - hence my opinion on that.
I would say that given their 'new' policy of being careful and not releasing info prior to PR's -- you are wasting your time emailing IR.
IR's replies ad nauseum seem to be: "we'll release it in a PR as soon as we have something to say." That is a paraphrase.
What a joke of a reply. I have yet to see an email from Emily/new IR that impresses me.
I agree and bought more today as well.
I was able to load more at .0041 -- thanks for the cheapies! Hoping for news soon now though :)
You are a curiosity and blessing of some knowledge to this board. Good luck to you. No interest in investing in SNEY seems silly IMO, but good luck to you and thanks for sharing your knowledge on things.
Cheers to that!
Thanks again for sharing. It certainly gave me further confidence in my impression of the man at the helm here.
Good find and thanks for sharing that! Like the pics...
This is going to get good.
We held well today, even with the delay in filings. Parent's email to a poster, if legitimate, expresses a "so what if the filings are late" sort of attitude. Ok, on one hand not exactly what you want, but read between the lines (i.e. there is gold in them there rivers AND REE's, i.e. confidence)...people are sometimes overly influenced by petty delays which run rampant anyway. Anybody new to pinksheets? Nevertheless such delays always play into special interests to the downside...especially knowing the upside...i.e. we held well. Good things to come IMO. Holding tight, and I am glad about today's strength in the face of delays. Says volumes IMO.
by the looks of that chart there is still a HUGE downside. :( How can it look like we are still so high on that chart, compared to .027's!? I really hope we can stay above .01, but that's what I hoped about .02...
Do you call what's going on a buyback?
The price is too high. Yeah right. Then again, might as well be patient and let the blood keep pouring. I jumped the gun, and I am paying for it.
Delay in filings...I expect them to be not very great this time around. My money is stuck on this until later in Q2 or the release of Q2 filings. Until sometime in that range, this will be more easily manipulated to the downside.
It is clear that this is a real company, producing, shipping product and bringing in millions of revenue. Just to be conservative, they must have got at least 5 MIL by now. Let's say they do that 3 times a year...15 MIL per year, and that has to be a lowball number. Some experts can crunch those numbers, but I'm pretty sure .0118 is a bargain even on that scheme.
You and others wouldn't be posting so much if you weren't interested. This is legit, although I am frustrated by the way things played out, and I have to sit on dead money for a while...never good, even if the company is good long term.
I believe CWRN will make some people, those buying down here or in sub penny again, a lot of money -- just not myself...
The question is how low will this go? Filings seem to be delayed for sure, and on top of that they may not be very good since revenue may not show up until Q2 -- but the big increase in revenue at that time will make these prices look real cheap.
Plenty of proof has shown that this is a real company, IMO.
I'm hoping for word soon on current production rates and projected next shipment. The overblown estimates previously, along with the delayed filings and questions about the share structure, along with the dumping of the stock going on...tends to not bring a smile to the face, but sooner or later the frown will be turned upside down, especially for those getting in at the next bottom, wherever that may be...
The manipulation doesn't help either. I'm hoping for more proof of strength (of company/by company) soon, since it's never fun to see your holdings dwindle in value.
Agreed, this is trading like a POS stock.
Holding shares at a higher price is a bad thing and incredibly frustrating. I hate holding the bags...should have got out earlier but what do you do...I'm forced to hold until this recovers (some day)...need a double to almost break even. I guess bringing in millions of dollars per year isn't good enough to warrant a higher share price, lol.
Wish I'd had money ready to get some of those cheapies!
I agree on your positives, but I was just feeling a dip from yesterday's high was gonna come, and it did. Another delay on the financials, if it occurs, will probably be an additional setback, but with all of the positives it won't stay down for long, and .016 is still pretty green for many in this. Buy on the dips if you can...bigger and better news, as we understand, should be on the way.
same old faces. someday, good old boys celebrating as new boys chase in.
can't blame you..chances are down short term from here. What if PR does come though..., I'm in already are you?
In this time of uncertainty, may all ?'s be set aside, all haters realize their mission is accomplished, and we trend to the upside, even before the big news is coming EOM. You weren't satisfied to know this penny is producing millions in revenue?
Nice close above .018...financial filings due soon. what are you gonna do if there is another delay (or not)? :
A: total scam sell everything - wait for all to sell, buy at bottom for possible dead cat bounce (.006's or less) or sell, sell, sell, and anyway just don't buy
B: You know it's going to hit big time on next PR(s)....hinting up already...so what can you do to create fear or ride off fear and buy in this range...
C: Filings coming this week or anyway production news is imminent: get the F out of any short positions and buy, buy, buy.
or anywhere in between: my guess is don't be short.
You've seen RocketM's photos. Sideways or minimal downside, OR hope to buy on the major down intraday, due to XYZ, because you know it's good from here if you can be patient. Who can afford patience? Best buy opportunity to come before end of this month!!! Given our status, I can expect nothing less than over-compensation in the next PR or at least a very substantial one. Rocket's photos carry weight, as previous photos led to inevitable shipping, etc, IMO> depressed price> going higher...
case for lower also makes sense, but we need results now more than ever to carry the day.
We are at a precipice now. Facing the Abyss, hoping for an uplift. This is a limbo spot, up or down big from here. I'm thankful that the longs' position seems better defended from this dug-in position, courtesy of Rocket Man in particular (and others). The missiles lobbed at us have failed to sustain overwhelming casualties, and Longs can look forward to more progress soon from here, IMO. But by this time in May, we'll know who the winners and losers are. Trades favored to the upside from here.
Blaze up buddy and get ready for tomorrow or anyway May. I expect a good PR forthcoming. Bob over-hyped before, but that is priced into the stock now IMO. Next news will shore up doubts about the 2nd ship (not to mention pre-emptive photos courtesy of Rocket Man). 1st shipment accomplished major milestone, and there is ample evidence here of actual production. People need to remember that counts for a lot.