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RSDS is in the exact same position ETIM was in a couple months ago, 504 is over AS is near maxed.
2 things can happen.
A huge run or a Huge Reverse Split.
All it would take is one PR.
I see you guys are playing UHDI, I jumped in today at close roughly a 60 million OS with atleast 24 million tied up by the ceo.
Anything with only 30-40 million shares in the float is a great bet on mkt cap alone up to the .05 level imo.
UDHI could be the start of something good. Its over the 20 day for the first time in a long time.
Whenever I say anything I am using 3 day trends FTR.
Wait till you get .0007 on the ask, might be able to get some .0006's tommarrow.
A drop to those levels should trigger the capitulation volume needed for a serious reversal.
Try this link for the chart.
http://stockcharts.com/c-sc/sc?s=RSDS&p=D&yr=0&mn=1&dy=0&i=p75846504658&a=10...
Either this is a 5x bagger or a Reverse split waiting to happen. Might even be both. Company should issue a release addressing the issue.
The trend was broken today as soon as a .0008 printed. Once the .0008 printed the chart normally goes back to last support which was .0005.
Also, charts normally dont have gaps to the upside to fill. I dont know where your going there.?
Heres a chart with some annotations for ya.
http://stockcharts.com/c-sc/sc?s=RSDS&p=D&yr=0&mn=1&dy=0&i=p75846504658&a=10...
The chart says .0005-.0006 b4 it goes up again simple as that. It has nothing to due with MM's holding back orders.
However I doubt much volume will happen at those levels.
I have been watching anything uranium for a couple weeks now. I bought a couple million over the past few days.
Just want to clear up some things, yes the 504 is over but that doesnt mean the company cannot dilute anymore.
I dont think there are any signs of additional dilution at this point.
2 scenerio's will happen here.
1. The PPS will start a new uptrend soon which will take it to the mid .002's.
2. It will continue to drift lower and eventually R/S.
Ill take #1!
I dont think it runs again until it touches .0006, or a major PR here at 8-9.
Its how the market works especially subbers, they flush out the weak hands then run'em
Thats "one" out of thousands.
LOL! Yea right, these companies can do whatever they want, its the wild west.
Pegasus Wireless did the same thing and never had to give up the shares.
I asked the question about a month ago, How do you figure the revenue projections when you cant buy their product?
No one can or will answer the question.
Dont worry about this one, because the other end 504 runs caught people off guard they ran fast, this one is gonna be longer and more drawn out.
The market is giving this stock one more chance to close green tommarrow and turn things around with the doji.
USF11: ASNI, EPCG, GSCR
How bout we get an arsenal of buying
If we get that macd to come back up and thru I wouldnt be surprised if we had a 3 day move to something ridiculous like .50+
USF11: SKCI, USXP, SLWF
My Bad 6!!!
One of them doesnt count cause they have a "0" lot size! So 5 !
5 MM above 9 !!!
New bid build at .09
The chart knows all.
Chart says up!
Some TA thoughts, I expect a dip to .06 on the bid with some MM paint there. Then the MACD line will come back up and thru and its off to the races and Steve-o cracks his .20!
Pull up a 2 year chart on UPZS and thats whats in store for us here with buying pressure.
With Unsolicted stocks MM have to match orders which makes them take forever to fill. Which is also why when resistence gets cracked this should fly.
Show me one place where I can order the product right now.
And I am calling that total BS. They could of easily raised the A/S anytime they wanted for financing or an Aqusition. Why do it now?
PHGI has like a 50 Million OS with a 500 Mil AS but they are doing things to lower the A/S.
The point that needs to be made over and over is, The A/S can be raised in all of 1-2 days when filings with the state of inc. So all this talk by Kron saying they need that space on hand is total crap.
If anyone believes there is no dumping going on with this stock they deserve to learn a hard lesson. This has traded the entire float what 4x in the past week?
Dilution or insider dumping take your pick.
Thats called a ponzi scheme and pretty illegal.
When Kron would answer all my emails except any regarding where the revenues where coming from I knew something was wrong as well.
Then the idiot raises the A/S to a billion. I couldnt believe it.
Its such a shame. This had a ton of potential.
I don't think the company has any product. Kron dodges the questions regarding revenue. So with a 40 mil OS you have an overpriced shell in the 600-800k range right now.
Im not bashing I am just looking at this from a different perspective.
I took a beating on this one today and I would of stuck it out if I saw hope but now I dont.
This went from being a short squeeze trade into an investment in the actual company. Thats a big no-no. Also, I must ve sent kron 10 emails on where the revenues came from and he never replies. Yet, he will reply to other topics.
This had .25+ potential and now that is washed down the drain.
Even in the scenerio of this running no one is gonna put any significant funds into it with the OS/AS gap.
Upside is .04 max now. Down side is mid .00's. Not worth the risk reward.
Arent you just alittle pissed off and dumbfounded how a company in the middle of putting on a short squeeze can raise the A/S to a billion! When it only takes 1 day to raise the A/S down the road?
Ok and your point is you would rather trust some pink ceo with your money, then use your common sense and reason.
It could be UBSS, most likely with unsolicted though its all customer to customer volume. Its why unsolicted's go crazy when a promo is on and they are tough to trade when nothing is going on.