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Still some "housekeeping" needs to get done. In a month, things can be interesting around here. At the end of the year -- you should be very happy with your investment ... especially if you bought in at these levels.
GLTY
As the ticker changes, your shares in your brokerage account also changes. Should be seamless.
Exactly, very hopeful. Today they came out with the Def-14C, and this week they go to the Space Conference for a demo and a little networking. In a couple of weeks we'll have the ticker change (yippee), and early next month the final fins.
We're already into the 2nd week of June! To add to MO's sports analogies; we need "to keep our eye on the ball." Frustrating as it is to some, we need to be patient -- we'll get there.
I'm just glad the PPS didn't get "pounded" like I thought it would.
Go APTG or APTM, or APTX!!
BUT --as I said earlier-- if Troy Covey announces that the APT debt has indeed been "paid off" and they have no more shares to dump then the stock should have a chance of taking off.
In answer to your question (again, just my opinion), is yes, this thing will eventually have to make people money. The previous timeframe was set - and passed. I have never been invested with a company that has moved into another company's "shell," so I am willing to give this one a pass.
Again, because I'm newly invested here, my patience is a bit greater that folks that have been here much longer. And from the graph, the longer one has been in [and didn't get out and bought back in cheaper] the more their portfolios got hammered.
If one believes in the potential of APT and the variety of products they have to offer ... they have no choice but to wait.
When a business promises information on a set date and "does not deliver," then an investor's faith is sorely tested ... or lost.
If PPS dips again to the low 3s or the dreaded 2s, averaging down could be possible -- but from I read these past 10days is most peoples' powder has run dry. Ultimately, only APT can fix this - and in a month we'll see.
Ok, the DEF-14C is to be filed early next week; ticker change by the end of this month; and the final fins to be released in the first week of July.
I'm relatively new here (jumping in late April and buying bits and pieces throughout May) compared to many folks here. So to me, I can wait - no problem.
This update will, no doubt, not sit well with some and combined with our friend "the ever present IR," the PPS is gonna take a hit this month and hover until the above mentioned items are addressed.
If that is the case, I'll be getting bits and pieces this month because I still believe in the potential of this Company. Again, not as frustrated as some because I've only been a part of this for a little over a month.
GLTA
It's a day of the crazy 8's...
My sis-in-law is Chinese, and was told among Asians, 8 is a lucky number or it brings luck -- one of those two.
She informed me of this while I was picking my lotto numbers.
Been away most of the day and "catching up" on posts. Could this be it?! IR sold what they had and were paid back?! I hoping that is the case, then the selling pressure that has been hitting the PPS can ease up a bit and allow it to breath. . . and climb. All you have then are the flippers, but they're not as bad as that incessant 'bid hitting.' Thanks for the info.
Oh well, we'll see.
So far, no T-trades....
Exactly! Way down the road I believe we will see a 4/1 or 3/1 R/S, along with a bunch of shares being "retired."
Potential for another uplisting after that.
Yes sir... Anyone who jumped in below .005 will be very happy. Those who are still "underwater," hang in there -- your patience will be rewarded.
I hate making predictions, but this has potential for .10 by next summer. That statement was IMHO of course.
No fear. Even if the fins are "sub par," as someone suggested ... we are here for the potential of this Company and waiting for the Q3 & Q4! But, from now until then it's the juicy news of contracts, announcements, and deals that APT will be releasing for months on end due to the myriad of products they have to offer, that are going to keep the PPS on steady Green!
Of course, there will be PPS corrections and dips, but overall it's a steady climb up.
First is release of fins, pertinent filings, and ticker change --- necessities for laying the foundation.
Like I said before: it (tomorrow) will be the first step on a long staircase up.
Then when news, PRs, and the new ticker symbol comes --- and the PPS is climbing up and up; people will say that "this was our finest hour."
I was thinking we may be in the low to mid .005s, then the transition, news, and PRs on contracts (I believe their saving some of those for release after their name change is official); and the PPS should steadily rise. But, I like your scenario better.
On a sidenote, FROZ is now the #1 Most Read Board!! Getting alot of eyes here.
Very well said - - -
Exactly!! The low .004s of today will be like the low .002s of a couple weeks ago.... How many people are mad at themselves for not grabbing then?
Don't have the same regret when this is at .01 in a couple of weeks. Snagged about another 500k shares about an hour ago at .0043.
No "ammo" left.
GLTA!
Lots of buying and selling. The sellers (flippers) most likely got in the low to mid .002s and locking in profits. They're either moving on, or "channeling" this stock. I wouldn't be surprised a little of IR here too.
The buyers have their eye on the ball, and increasing positions [or "newbies"] jumping in ahead of news, filings, and ticker change.
This is going up --- today was the first step of a long staircase.
Email? Do I need to register with them? BTW, thanks for that info.
Depending how the week plays out --- if trading goes well and PPS slowly climbs pending the transition, the arrival of the Information Statement towards the end of the week could possibly help with "momo" (if indeed there is momo) going into the weekend. The next couple of weeks will prove to be interesting.
In the Pre 14C it said:
This Information Statement is first mailed to you on or about May 30, 2014
Wow, T-trades much smaller than as of late (at least for now) --- but, at least they hit the 34s!
Green is always good!!! Great way to start the weekend.
Next trading day is June! Month of transition, and updates.
Was going through iBox (like I have many times, thanks B), but I
have to say for a "penny" company - - what a variety of products!!
IR = Succubus
One more trading and May is done. I agree, June should be an interesting month, transition should be complete; and any cards they were "playing close to the vest" will be shown. Of course, IMO
I agree 100%!
The news we have been getting lately from APT are things like: 14-C, 10-Q, 13-G, 8-K, etc. "Housecleaning" so to speak, to get the house in order for the transition. If they have worked out some deals and/or contracts, they would (I know I would) release this information so it would sound like ".. contract deal has been reached with APT Motovox Group and (fill in the blank) in re: to smartCarb, minibikes, motors for military drones, whatever.."
As opposed to ".. contracts and news with/and involving China, Military, motorbikes, etc., released by Frozen Food Gift Group."
The short term is painful watching PPS drop, which usually happens when a financial deal with IR occurs. But, it appears to me that APT is looking farther down the road; and so should we.
Remember, many companies didn't recover after an IR deal because there was "nothing there." No products, no revs, no physical "box store," customers, etc ... just some money that scammers grabbed [or had to pay some pressing debt to avoid jail]. Another reason why IR dumps as soon as they get shares, many of these companies won't be around.
APT is different, as we shall see [and already know] --- farther down the road.
"Horizon driving" my friends.
I don't know exactly the meat of the suit, but I bet IR got a bunch shares in exchange for a loan. IR dumped the shares recklessly, hammering the PPS. As a result, they need new shares to recover remainder of loan. ScripsAmerica is seeking (a) a declaratory judgment from the court that would excuse ScripsAmerica from issuing any more shares under the Stipulation, (b) compensatory damages (to the extent ScripsAmerica can prove such damages), (c) attorneys' fees and court costs for this action and (d) punitive damages.
I bet ScriptsAmerica knew that IR's "dumping" hurt the PPS and drove price down to where it hurt IR in getting money back, so now IR wants more shares, per their agreement to get loan paid back.
Seeing that it was IR itself's "selling pressure" that hurt PPS and ability for IR to get paid back:
IMO
Filed yesterday:
http://pharmaceuticals.ulitzer.com/node/3094263
And that's why IR is getting sued over this "style" ....
Well, I'm hoping I'm right, but I think your timetable will be more accurate.
I just thought after the lawsuit was filed against IR yesterday re: some of their tactics, they may wanna behave differently and not demonstrate a pattern.
http://pharmaceuticals.ulitzer.com/node/3094263
Exactly. IMO, IR has unloaded a bit more than half their shares. When news and changes occur next month, there's gonna be "buying pressure." PPS will rise and IR will continue selling into that pressure.
Bad news: when all is said and done, I believe PPS will be in the low .005s (or high .004s), and folks will be upset it's not higher.
Good news: IR would have finally sold their remaining shares, got their money back, and LEAVE. No additional shares issued, no dilution.
That selling pressure will then be gone, except for the flippers [but that's at any stock - and they're just locking profits anyway].
THEN, the PPS will slowly, but surely rise as APT grows. Again, can't wait for Q4!
Just MHO
That was it, now officially outta powder (granules and all). Evened out my shares and dropped the average PPS a tad. Can't wait for next month for news and what the next year to 18mnths will bring.
Man, these cheapies are screaming at me! Gonna scrape some miniscule grains of powder together and try to grab some.
Thanks, GL to you too.
My thoughts exactly, the Company hasn't "really" started yet. They moved into a frozen food company shell, that was about to dabble in a marijuana play (what company in pennyland hasn't jumped in on that now?).
Now they're ready for ticker change, preparing to update OTC, settle their debt [and problems left over from FROZ].
They have a bonified commerical space for production of their products, and it looks like the distribution arm is already in place.
Once they resolve the "keeping up with demand" issue; their revs would be reflected in future quarterly reports.
I'm hoping the transition goes smooth and eagerly waiting for Q4 and Q1 filings, and projections for 2015-16!
GL all!
Friday had pretty good volume, I hope it means something "is in the works."