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first sign of life is usually a reinstatement, then
an acquisition.
guess this has been dormant a very long time
oh now I remember, 3 tickers ago? wow
thanks
no idea where I got this, jgld before?
yearly volume history> not even 500k in 2015?
RZOR 1/1/2015 0.0045 0.0079 0.0030 0.0070 498,790
RZOR 1/1/2014 0.0053 0.0300 0.0021 0.0045 1,724,800
RZOR 1/1/2013 0.0043 0.0300 0.0020 0.0100 2,896,475
RZOR 1/1/2012 0.0100 0.0170 0.0005 0.0043 1,804,970
RZORE 1/1/2011 0.3400 0.5700 0.0036 0.0100 28,454,986
RZOR 1/1/2010 0.5000 1.0100 0.0200 0.3350 2,096,149
RZOR 1/1/2009 0.3000 0.7500 0.1500 0.5000 102,750
RZOR 1/1/2008 0.5500 0.9555 0.1500 0.3000 25,975
RZOR 1/1/2007 13.0000 13.0000 0.5500 0.5500 9,400
http://www.profitspi.com/stock/view.aspx?v=price-and-chart&p=22231&i=RZOR&pv=recent-symbols&pp=RZOR#&&vs=635860156208573577
filings and no posts for 2 years?
http://www.otcmarkets.com/stock/RZOR/filings
"We already have a few candidates in mind" certainly caught my attention in today's news
some people giving up. some MMs helping them to throw in the towel
MMs have the deck stacked in their favor
still banking their profits from shorting 07s no doubt.
and as long as there is no catalyst
to drive buying volume, it keeps working for them.
shorts in control due to low volumes. for now.
it could set a new 52 wk high. its all about the volume.
without volume, it goes nowhere.
so if they execute on a plan, and put out PR
shorts will get their heads handed to them on this one.
if not.
you win.
simple as that.
sure you can get fills. but the games are everywhere. its computer based. there are no humans running these machines.
typically it seems like the algos are set on almost all of these for the mms to short almost every trade. they constantly sell shares they don't have, and recover for a profit at lower prices. its a very profitable way of 'making a market'.
the only thing that seems to keep them honest is when overwhelming buying volume, forces them to back off the ask. at which point they will back off the ask until the stock finally reaches a price point that stops the buying volume. and then they just reshort it again, knowing they'll be able to guide down the price typically for at least 3 days, while most traders are waiting for their funds to settle for any shares they sold, before being able to buy back.
so in many cases the actual share structure is irrelevant. because the MMs aren't trading real shares anyway. They're just printing shares to meet demand, that they are allowed to 'cover' later as needed.
as evidence that this is the typical norm on the OTC just look at most any chart. almost nothing has a sustainable trend up. the upward moves all happen fast and look like short squeezes because that's what they all are. because its pretty much the only way they let anything move up. when they are forced to move it up quickly by overwhelming volume.
you will also notice that typically mid day in the trading day,
when volume dries up, they take the opportunity move the price down, sometimes dramtically. when the price moves down, then all the shares they've shorted look nice and green on the books. whether they have covered or not.
no idea why this system has been allowed to exist.
except for the fact it makes the market makers enormous profits
and stacks the deck against the individual trader/investor.
CAPV moved more than CDII did, on less volume too
ARSC different ticker
ARSC 200% beam me up scotty. I must be on the wrong planet?
only 442k volume friday. not many sellers at this level compared to the volume it had on the big move up near .08
here is an ETF for Canadian real estate, but
it appears its only 17% residential REITs
https://www.vanguardcanada.ca/individual/mvc/detail/etf/overview?portId=9559##overview
VRE
lotsa folks hopin for cheap shares now :)
any reason NEWL 0003x0004 is up 100%?
this bottoming today?
It has a bid? any reason? 2 years since any posts here
PURO has a bid?? 0001x0002 any reason?
volatile range 003s to 008s
maybe that one seller is done?
is been looking that way
52wk high retest key place on the chart
it sure did. I stayed patient on it.
volume and accumulation looks real familiar
deja vu all over again?
over 20 pt bounce since the open already!
imported cucumbers (not chipotle) 838 sick, 38 states, 4 deaths, but all we hear about is chipotle. that seems odd.
wish I hadn't read that lol
lots more accumulation today, buying and holding is the pattern for 2 days now
hmm. very interesting info there.
9m +100% large accumulation
someone did buy large blocks today for sure
vndm keeps showing up randomly
isn't this record volume?