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I hope it’s not long selling for loss.. I got my 500k more today. 6.8M strong
Got 200k more to go
Will try tomorrow for .0068
I can believe I have 6.3M shares... hold it down a day or two more so I can get to 7M
Fund clears on Monday.. loading another 500k at these cheapies
Received DIP financing amounting to $900M ($450M in new money), and had $500M in cash as of the Chapter 11 date.
Am I missing something.. they already got $450M in DIP?
Once again my order was partially filled at .0076.. smh ?????
Can’t wait for this thing to run up
I’m almost there to my goal of 7M shares
Should I hit that 1M sell order?
No they have to be above .01 to be listed as “OTCQB”... anyone knows what the ruling is?
What’s the deadline to be above .01?
So my order partially filled at .008 but the bid went down to .0079? How’s that possible?
Added .0078.. live this “PAUL” making things happen for me
Someone wants to load cheap shares.. I’m down for it
So happy to see week hands getting out.. we need strong one’s who are ready for 100%-200% in next 3 months
Can a man dream pls.. no one thought there will be “one small step” but it happened.
GLTA
I got my retirement package right here.. 6M strong
If this hits .10 I’ll be all GOLD
Added more on those dips
Wow you telling me less than 1M in volume jumped the SP by 14% lmao.. see y’all at .02+
1-100 R/S is minimum what I’m thinking with .05-.07. It will all depend on Q3 if profit reported it can do .10 by Q4 too
It was a sarcastic way of asking what y’all average buy is?
What price is us long selling this at? Comment pls
What price is us long selling this at? Comment pls
Thank you.. now that’s how you reply.
Ok Anshu.. TY
That’s wasn’t my question.. smh
What’s the last day to report Q-2? I jus wanna be ready with the cash in my account so I can buy 1M shares at .0055
Who all added with me today? I got 250k more at .009 and 250k at .008. I’m a happy fella.
New total 5.3M shares
GLTA
See ya all at .02+ in 3-4 months
I can put way bigger wall than 1M? Who over that is needs to move it above .01. Let’s stay above .01 minimum
Added added added.. loving the dips
What’s the debt amount? I’m guessing $4M
Guys jus one advice for any new investors here.. don’t rush. This company gives you opportunity itself to buy cheap.
So Plan accordingly. My highest buy has been .02 and lowest .01 today. I’ll add more at .009 and .008 if it goes there.
I love this company.. it had made me so much good money. Yes its a patience game with this company. But anything below .01 is a gold.
Keep adding.. this will be 100%+ return in 3-6 months.
Got another 500k at .01.. gotta love this.
4.35M shares strong now.
My target is to get my 7M shares back. I used to own 2 years ago bought at .0066
GLTA
Manipulators won again.. yeh yeh. My .01 order filled. Let’s go .008 next
So it’s today after close?
Damn float is locked on VRUS... 2B shares but it trades like a low floater.
30M in volume makes it go 50% up... imagine what will 100-200M day will do.
GLTA
Can’t wait to see this company on big boards.. it has so much potential.
God pls give me strength to hold my 3.87M shares for another 6 months and don’t fall for these manipulators. I was very close to sell last month when it dropped to 52 weeks low. Glad I held and we should make a new support at .02 after this Q.
Next two Q’s will be very crucial in up-listing. I hope management is able to keep the momentum going and very focused on the up list aspect.
GLTA
If they report profits in Q-2 and Q-3.. hell yeah. The SP will be at .05-.08 and then 100-1 R/S which will put us at $5-$8 minimum required by NASDAQ or NYSE is $4 I’m guessing.
Let’s see who wins this week.. manipulator (shorts) or us long.
Jus remember money is inflowing now.. it will be another quarter only until they report Profits and then up- listing.
Up-listing will be a game changer. This company has come a long way but OTC platform sucks so every step forward is pulled back by the manipulators.
GLTA
I see one of the bag holder is out at .0132. He had 2.7M shares
You really asking me that? So they can load cheap shares and dump into the positive news again.
In OTC we don’t have shorts they called manipulators.
If you know how shorts work then you know what I’m talking about.
I’ll say this again.. this will not got to .10 without R/S.
A lot of manipulation is going on by the groups holding 10-20M shares.. or maybe 50M who knows. They own this stock and shake it however they want.
I bet you even with positive earnings VRUS will dip. It’s not about the positive news when you have the manipulators.
We should have been above .02 by this time heading towards .05 with what all this company has achieved over past 2 years but look where we are testing .01 smh
GLTA this will stay in .01-.0150 range even after positive earning news.
I’m still green so I’m holding.. This is def testing a patience of lifetime.
Could have doubled my money on Tesla within one month.. but here I’m holding over 2 years and still not double.
Cheaper the stock price.. easier to manipulate.
I heavily believe they should do 10 for 1 R/S on OTCQB to control manipulation and then next 10 for 1 R/S at the time of uplist to Nasdaq or NYSE.
They wanna do 100 for 1 R/S anyways to uplist to bigger board.. why not do 10 and 10 R/S twice.
With this cheap of a stock price and 2.3B OS... it will be a 1 step forward and 2 steps back game every time.
I’m not bashing a stock and I have 3.85M shares myself. Jus wanna see the company grow at lil faster pace. It been a long journey jus to get to .01-.0130.
I have had a stock in past which was in the same boat and couldn’t progress bcuz they had 2B shares OS and cheaper stock price.
The company ended up doing 500-1 split and now will uplist to bigger board by next year.
RS are bad 90% of the time but not when companies like VRUS care about shareholder value.
I know most of the time RS ends up into a dilution but that might not be the case here.
What y’all think?
Again I’m not bashing the company or the stock.
It helps ppl like me.. I’m not one of them but I’m loading these cheapies. As the bigger picture hasn’t change a bit. It’s a growth play. I been here since 2017. Its been one wild ride. I wouldn’t lie I have taken profits too.
I used to have 7M shares. I sold most on run .007 to .0350
My cheapest buy was .0022 in 2017
Now I own 3.85M shares. Goal is to get my 7M shares back slowly and gradually. I missed that last dip to .0078 2 weeks ago.
I’m waiting on the sideline to load more. Prolly 1M at .01 if it goes there.
GL to all.
Did I mention I got 100k shares more at .0125.
Keeping taking it down to .01... I’ll load big again.
I love these cheap shares