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Thanks for the DD update, I'm so sick of these asshole companies selling shareholders down the river
Odd buy 337,666 @ 14:06:45 ET
You already sold your 10k, will take a few more shares to knock it down
We don't, where are they trying to unwind?
Is this stock dead? I've had it on a watchlist for awhile but haven't done much DD just seeing if anyone thinks this is a viable company.
Huge support, hopefully they flip from limit to market and take out the supply up to .0034
Just curious if this will trade with a "Q" and why you think 7 vs 11? I agree with your take but I haven't been following this for about -90% down
Thanks for the tip!
I'm don't know how to post screen shots but I have them, could just be my b/d aggregating the volume at the price. Yeah MM never use odd lots to chat about price action. That was def a retail trader selling his 7 shares at .0029 then buying 11 more at .003 this morning.
Same guy was prob buying 16 shares @.0028 then selling his 41 shares at .0028 and buying 40 shares back at .0031 @ 11:04:09
Did you learn that at market making school? The MM want volume to slow the 90 day avg volume is 77m and the 10 day is 190m. We just passed the 90 day, they want to keep volume lower...so they raise price on buyers or drop bids on sellers.
Interesting bid @.0029 6,662,078 what's up with all the 666s with these markets?
What happened to the business and operations?
They let debt holders and CD's run them into the ground. Will they recover and turn it around or we looking at a R/S?
This is true. Sometimes buyside volume is too overwhelming and the increase price to get net short 2 to 3 days later as to regain their inventory at lower levels.
Cool thanks, I've been looking at them for a futures trading account.
What a POS they walked this up off the lows then did this huge GAP. A very poorly managed company, I wonder what the new share count will look like post dilution.
Thanks for your insight! China isn't plug and play and there are many logistical hurdles for companies. It will come down to execution for sure.
"No one shorts below $.01 it's too expensive"
Spoken like a retail trader, not a market maker who can short this. You can't use absolutes like NO ONE and have the statement be true.
Agreed we have resistance at.0032, .0034, and .0036 after that traders will take it back up on a retracement.
I was just mocking the speculative T trade spotter, .0032 ask is small too
I'm glad you made money, we're holding key moving averages and we're about to print .0031. Time and sales shows more buyers than sellers. I thought your huge investor have you great info now it's all wait for the filing. You may miss the move it's a risk you run. You could be right too. Time will tell.
Are you seeing all these T trades, and CDs diluting today? Volume to the downside is insane we could see trips and 2b volume by EOD. Higher highs and lower lows and an ascending base are meaningless when you have so many debt converts according to some here lol
You were pumping this to the ?? now it's a shady pump and dump because you can't trade. On 3/6 you posted STRONG SELL on 3/7 you posted STRONG BUY...which one is it? There are plenty of other pot stocks to trade, move on if you're going to let yourself become manic over the movements. Just don't come back buying the highs of the day then crying about it when you are down.
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You literally have proved nothing with your cross trades. I'm not going to debate anymore on the topic. Anymore with a Bank of America Instaquote trading platform can use "iceberg" orders it's just a better way to split large orders and you can also show whatever share size you want. This has nothing to do with CD's or dilution outside of the fact they likely use the same order types. You are a retail trader who likes to speculate on what institutions are doing.
I'm well aware thanks for the link but you are acting like you time and sale tells you it's a cross sale or a T trade, it doesn't. I'm not going to get into a pissing match with you. Even if they're diluting I really don't care that they're increasing capacity for production. Sellers will sell, buyers will buy, and price action up or down will prove who's doing more.
A cross trade just means bid sitters are getting filled and not chasing the ask pushing price higher.
Your entitled to your opinion but I'll take take founded charting and principles of supply and demand over your "authority" any day of the week. The stock ran 6,800% it had to pull back from extreme overbought just like ICLD.
IMO we will run again and possibly gap above .0036 when we do.
You know there are 4 billion shares right? Nothing in the price action up and down indicates dilution and you can not prove there is. I'm asking you now to prove there is dilution.
I don't "hold my hat" on any 1 but you are ignoring yesterday's accumulation and price action. You also more than ignore the recent product launch and revenues generated.
Whatever dude, you say "trips coming" not sure what your motivation to shake out posters on this board is. If you think the CEO is a liar and the company is lying and a fraud them just say that.
At the end of the day only the sellers, actual broker dealer of record, and the dtcc know who sold and if it was from a note or prior accumulation at lower price levels.
I'm sorry I missed the amazing long & short on this. Def a buy if it comes down to .02 200 day ma, this will be a major trader in 2017!
Thanks to all for the kind responses. I honestly thought I was going to wake up to the post being deleted.
I forgot to mention StockTA Chart Indicators are very bullish on EMA, MACD, & RSI. (FIBS Bearish)
http://www.stockta.com/cgi-bin/analysis.pl?symb=VPOR&cobrand=&mode=stock
Chart Indicators
Ind. short Inter Long
EMA VBu VBu VBu
MACD VBu VBu VBu
RSI VBe
TDD Bu
Fibs Be Be Be
Highs N Bu N
Lows Bu VBu Bu
Trends N N N
Stoch. VBu
Also
we are basing a nice consolidation below all key moving averages which are converging 20 Day EMA .0036, 265Day EMA .0036, 30 Day EMA .0036, 35 Day EMA .0035, 40 Day EMA .0034, 45 Day EMA .0033, 50 Day EMA .0033, and the 55 Day EMA .0032
https://www.tradingview.com/chart/?symbol=OTC:VPOR
Not to mention Barchart overall "Hold" Average: 67% BUY for Long Term Indicators 100 Day Moving Average vs Price and 50 - 100 Day MACD Oscillator https://www.barchart.com/stocks/quotes/VPOR/opinion
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I'm guessing it's these guys. I'm really glad we pulled back over 50% off the high, market makers have been able to get some shares back to sell for the next wave up. Once we're over $.01 it's smooth sailing.
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I closely study the On Balance Volume on this stock. It was at
negative 2.2b shares on 200 days. It's now down to -360m and positive up to 1.2b on earlier time frames.
The float is anyone's guess but when this was topping out and I'm seeing wide bid/ask spreads with small sizes it tells me they've run out of supply till they have days like today when they can drive the shares down on light volume to get retail traders to sell them more inventory.
The volume weighted average price for VPOR is $.0077. They're in a perfect position to buy back shares and consolidate the float and O/S. Reducing the A/S will also attract better investors.
Market Value $22,615,802 a/o Mar 01, 2017
Authorized Shares 15,000,000,000 a/o Mar 01, 2017
Outstanding Shares 4,038,536,041 a/o Mar 01, 2017
https://www.otcmarkets.com/stock/VPOR/profile