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Closing at .002 today.
Yes indeed.
You guys crack me up. There's no chance here.
That's my chunk on the bid. Fill me. Tripling my shares today.
I mean 50-75 M
Debt on books is now less than next quarters revenue.
Anything under $5 is a penny stock by definition. Any worthy uplisting effort needs to be supported by 50-75k market cap. RS is a dead subject until we see mkt cap around there. May as well ride it up to that level.
All good. I've got $5k on the table right now. I'll pull it out at anywhere above $50k this year.
Nice play!
I think it was moonshine on Twitter putting up the blocks w/ NITE. His outburst at yaniv occurred very proximally to when he got blown out at .0016....
Debt to equity ratio is now less than 1.
Back of napkin analysis on $vpor
http://twitter.com/K_Decoque/status/583145537244958720/photo/1
Overall pleased w/ higher gross margin.
Everything else is noise.
Knowing that Dror reads these boards, I suspect the open market 10k was a f&$k you to the flippers. Cleared out a lot from the ppl creating fake walls. Lots of loyal longs doubled their holdings. Definition of weak hands begin shaken out. I expect a premarket guidance letter and a gap up tomorrow.
All these babies' daddies showing up like its tax return time.
Previous valuation based on future cash flows, industry growth, terminal share count, and terminal profit assumptions yielded a fair value of 3.5 cents.
Quickly reviewing those factors...
Revs were slightly down but strong. Effect on valuation insignificant. Might become a trend for Q4.
Industry is still expected to grow at greater than 25% per quarter through 2020. Supports valuation strongly.
Terminal share count will probably settle around 3.2B. This brings valuation down slightly since I was using 3B. Minimal debt was taken on in Q4.
Terminal profit margin may be higher than I have assumed, since their gross profit was 80%+ this quarter. This significantly increases my valuation.
.04-.06 is my new target.
Discounts almost over
Remember when I said you'd regret selling?
Prepare to get steamrolled
Gross margin significantly improved. Going to be profitable in q1. .04-.06 fair value.
All overhead resistance has been eliminated.... Release the hounds.
Closing green today. Watch.....
Pulled back for a lot of others too. Tough to say.
Dare you to sell before power hour when the guidance letter hits.
9 month prior were $1.27m total
Great looking balance sheet and keeping strong revenues up. Looks like we will be sitting at 3.2 B shares when it's all said and done. Revising my fair value estimate to .04 from .035. Just need a guidance letter now for 2015.
Tomorrow or after market today. Welcome.
Yes. We will. Need to manage expectations because it won't happen over night. I have a range I expect it to be within each week until the rest of the year. Boring as hell but it's been on track for three weeks.
Possible close at .0028 today if the stars align before fins are released.
$vpor is going to pop ... Fins coming tomorrow
$vpor ready to pop!!!
$vpor is gearing up for a pop into fins.
Textbook point of resistance at target from inverted head and shoulders pattern... Need to move on to completion of the larger double bottom with target of .0053
90% accurate still loo
Hoping to
See the ask blockers get vaporized today!!!
Don't miss the rocket ride
Possibly. Can never be too sure lol.
I like you, but can you use the space bar plz?
Should be a run ride from here. Going epic indeed!
Scared money doesn't make money.
Once that mentality goes away this baby will be spacebound. Too
many ppl "hoping it stays low."