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Step one- Find a broker that allows you to short sell penny stocks (there are several).
Step two- Open a margin account.
Step three- Call broker and find shares of IMUN to short.
Step Four- Short IMUN.
You don't know what I'm doing, but I know that you are losing money with IMUN so it's ok to be angry and belligerent if that's your thing.
https://pennystockwhizzkid.com/can-you-make-money-short-selling-penny-stocks/
The 3rd option as I've already mentioned is to short this stock HARD! It will and should be delisted. We are over a week under .01 and after this weekend on Monday it will be 11 days in a row.
6 days in a row under .01 and counting... Brace yourselves because delisting is coming... And it should. Shorties would do well to keep this pushed down for 30 days.
So a non college graduate CEO who isn't supposed to be CEO according to press releases from many months ago is still CEO.
Advisory board members who settled with the DOJ for malpractice have been added to IMUN.
A $31 million contract that was put in play exactly a year ago that has seen nothing.
Zero movement or press about Africa.
Zero real revenues.
And a wonder drug that cures HIV. Did I miss anything?
Short this until it's 'dust in the wind' if you want to make any money with IMUN.
There are only 2 possibilities left with IMUN- They don't report their numbers and get delisted (dust). They report their numbers which will show nothing (dust).
This stock will hit .005's and lower and will be de-listed in 90 days or so. This is what is supposed to happen with horribly run companies. I'm just happy I get a front row seat to it.
Early on when it was testing under .01 I had the same thing happen. None of my orders filled. It might turn out to be a blessing in disguise at this point... or just another boat I missed.
I agree. There is absolutely ZERO reason to load at these levels when it's likely heading .0005 soon or lower with a delisting to follow 30 days thereafter.
I would hope not in the case of IMUN but bad companies run by bad management should fail and generally do.
There was barely 4 mil in total volume over the last 5 days. Don't know where that guy pulls his random numbers from.
It's possible they have no news to release (good anyway). Also you can't expect much from a CEO who isn't a college graduate. What confuses me is why these higher caliber players would join the BoD. Makes no sense.
I'm not certain but I thought it took some time to get de-listed but that is definitely on the horizon here.
You are an idiot. That looks like your house.
Firebird Bulk Carriers is Headquartered in Texas.
This is their website- http://www.firebird-tx.com/
Do research! Don't listen to morons.
I just want to mention that there are other Biopharm companies that are OTCQB such as $BIVI that have ZERO press releases in the last year, a completely inept BoD, no rev's... yet they are still trading around .06
Just something to ponder.
Now it's trading above the ask. There is some serious Bullshit happening right now.
I'm seriously just still pissed that everything this morning that I've put over the bid but under .01 hasn't been filled.
I believe the CEO issue will self-resolve, and if not the board w/new members will resolve it.
I have above current bid orders on everything under .01
This is pure bullshit!
WTF is going on?!? I have orders in at anything under .01 and nothing is getting filled.
I would highly recommend any future investors wait until several months after the massive price drop that will follow the coming R/S. By then they still won't have pulled any oil out of the ground so you can still buy it super cheap.
This is what should happen to a stock that has no real financials, no PR, and zero follow up on PR's released over 6 months ago. I wouldn't say they are undervalued. I'd say they are very precisely valued.
Just checking in on my super long position here.
A few observations- This thing will bounce again soon and test new highs.
Yield will come down, stock promotion flag will be gone. Easy to check DD with regards to BB&B online.
The high volume on this is steady. Buckle up. See you all again in December. It will be a lot harder to get a low PP then. GLTA!
I think I'll come back 3-4 months after the R/S fallout that is inevitably going to happen before considering entering a position. GLTA!
So we are now comparing a BRAND like Nike to ACOL? LOL. The plastic container holding my weed is so revolutionary it's on the same level as Nike? LMAO!
I guess I need to come to this board more often, everyone in here is high.
Someone help me understand why I should invest in this company when I can buy a competing product knockoff on Amazon for almost nothing? Just curious.
LOL. So much talk about all these longs exiting positions. Get real. I'm long here and accumulating under .01 (these feel like gifts)
With low float, good PR's, updated financials, volume in the millions, etc..
The longs know why we are here. More nom, nom, nom at these levels.
GLTA!
An R/S with an already relatively low float makes no sense. This will outgrow the OTC for sure, but an R/S isn't needed to do that.
One reason for the move down today could be the Stock Promotion flag OTC Markets has along with the yield sign. Should the yield sign come down and the Stock Promotion flag come off (meaning Walmart and BB&B are legit).
I'm happily accumulating at these levels and holding long. GLTA!
So quiet here. This thing will break out. 3M in bookable revs the end of the year. Bands shrinking. Yet this place is like a ghost town. hmmmm...
TMXN is the early Christmas present I'm giving myself. (I'm SUPER long so I'm by no means selling anything for a very long time just accumulating at these levels) GLTA!
To have pallet displays in Walmart and E-commerce in BB&B before the holidays is HUUUUUGE!
Well fellow longs. I've been following this stock for close to a year now and have made several purchases along the way.
I'm hoping to make one more large (or several medium ones) before December and hoping for one more solid entry point (sub .01). The technical data tells me I may not get another chance where I want, but technicals rarely matter in OTC land. That and the PR was nice (Walmart is huge, maybe others soon too), the yield sign will come off, financials being released going forward.
Hopeful...
I'm a long and have been long here for a while now. I think this price action is really good for the stock. The volume is amazing. The PR is very telling. The fact that the Yield is coming off soon. Hugo is releasing financials.
This thing is going to go. I'm waaaaay long here and don't have a problem with this price action today. Get em cheap while you can.
Somebody put 1M on the ask @.0165 and it's getting eaten alive!
Updated financials = Check
Outstanding PR = Check
Yield Sign coming off = Soon
Excellent Product = Check
Gotta buy this dip before it gets well past $.02
Updated financials = Check
Outstanding PR = Check
Yield Sign coming off = Soon
Excellent Product = Check
Gotta buy this dip before it gets well past $.02
Is the product excellent? If yes and people want to buy it then the sales #'s will follow. Walmart will have big numbers and any other retailers Hugo lines up will also.
Yield sign coming off, PR will follow, sales will increase. I'm NOM, NOM, NOM at this price point.
Added to my position here, been following this for a while now. Have even more powder ready just in case! Stop sign gone- https://www.otcmarkets.com/stock/TMXN/overview
You mean other than a company riddled with debt that just gave up majority stake in the only real revenue generating portion of their company?
If you were investing in MSPC because of Etelix this is horrible news. And there is nothing stopping PSNXD from making more shares available in the public float in the future, thus neutering MSPC.