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I agree. The massive dump (70%) a few months ago had so many eyes and potential investors turn away from this co. The pr's and FB postings created a lot of excitement for flippers, but not for long-term investors. Maybe as the price increases and becomes less volatile, investors will be more inclined to trust their $ here.
It truly doesn't matter how great a company is. Even if a company isn't so great, they and their shareholders should not have to worry that collusion is gonna bring them down. This is why folks no longer invest, but rather do short-term trades. All forces are now against just regular people.
Hopefully it will make it back to .o5 sometime soon. One can only hope.
A company that loses 70% of its sp in a few weeks is not a company that one should invest in for the long term. If it had stayed at .03-.04 for the entire summer, with little movement, that would have at least showed stability and a strong pool of investors. Perception is everything. Many here honestly thought CC or better would come to light this week.
On one hand, we had calls for less than .02. On the other hand, we had Perchy saying 06-.15 by July 3rd. The most likeable is not always the most credible. Sad to see a few great investors give up here today.
So sorry to my family and friends.
Who would invest here after watching this action the last few months? I wouldn't. I/we bought in at higher levels when the company seemed on solid footing with everything to look forward to.
The powers that Be will make sure that doesn't happen. My family and I bought in at much higher prices because of Steve and the bright future of the company. However, can't underestimate the mafia-type that can run this and other companies into the ground. Sad week for real investors.
I guess it was a scam after all. Investors ALWAYS lose.
My family is going to kill me.
This is exactly why people don't trust the markets anymore. Too many games.
I am Steve Samblis.....
Where do you think we will be?
Then why is there so much selling and very little buying today?
Yes, I think about that and the 3 times I let .05 slip through my hands because I was overly optimistic. Bad choices on my part. Now I need the money, and I am not even sure this will recover to .04.
I am about to give up and just sell all my shares. Too many games.
This is really disheartening. Damn!!!!!!!!!!
Perchy, thank you for the PM. Pretty worn out by the games here. Traders win, investors lose....when does it change?
and to at least get us back to a nickel.
Perchy, a tight float doesn't seem to help here. What am I missing? The selling pressure is too much regardless of the float. Too frustrating.
Unbelievable. Why bother with being a long-term investor? Such a joke. Shorts, MM,traders, etc.... control the company. Damn!
Unfortunately they are having a quite a bit of influence over the stock price. Not even sure a real PR will help this now.
Why so little interest at this price?
I agree with you. The board seemed honest and smart many months ago, with great promise for the company and shareholders. Now with the manipulation and trash-talk, I am quite certain I would put my money elsewhere.
this doesn't exactly feel like a gem. With so much potential and hype, we couldn't find enough buyers in the .03-.04 range.
I think quite a few people want to be long term investors here, but the games and manipulation are just not worth it. Very sad.
He could be the best ceo in the world, but if the powers that be want this to fall apart, they can make it happen.
The plan to create fear amongst investors that wanted to see this succeed. I really don't know what I own here, and am tempted to call it quits after all this. Too many games. Very disappointing.
It is the traders and flippers that make a lot of money here. With the float being so tight, one would wonder how the sp never seems to gain traction. Not sure that's a good sign. Good luck.
.04 in November? What happened to .06-.15 by July 3rd? Not sure why sentiment has gone south here, but it sure is of concern.
Perchy, I was totally confused. Thanks for the PM.
I am done buying. I have been buying for 4 months, and regrettably didn't grab profit in the .05's. I wanted to hold long term, but am realizing that this has become a trading stock. I should have sold at .05 like all the others here. Live and learn.
I have enough shares and am not looking for more at a lower price. I am just curious as to why investors are not buying up these shares btwn .03-.04. A pr July 3rd does not guarantee the sp will be rewarded. We have watched many times now where the stock sells off after good news. That is of concern to me. How does that happen if the float is all tied up? Trying to be long here, but have concerns.
There seems to be little confidence now. The lack of volume is proving that even at .03, it's not a good buy.
One can only hope. We all want this to succeed and be compliant.
It really is something........this situation epitomizes the problem w our public companies/markets.
this would be a good time for that.
I have all the patience in the world if you are referring to me. However, given past experience with other companies, when I start to lose confidence (as I am starting to here), I need to pay attention to that. I was overly confident going in to this months ago, but now am questioning my decisions. We all make our choices. I hope the company and the investors do well here.
Who is selling right now?
Ha. Yes, I already did that too. Ended up buying too much in the .04-.05's, then averaged down for the last few months. Just feel that with so much potential, why are these cheap shares not being bought up in a meaningful way? Just trying to stay positive here. Too many painful lessons recently that I have a heightened awareness now to games being played.