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No buys @.0006??? comon folks slap that ask
Anticipation for news next week looking good for today
everyone move their sell orders up higher than .0006 if have not done so
Lets hope so VNDM moved to 1.00 at the ask
I placed my whole order as a limit sell order @ .50
Matt Schissler feeling beaten up this year, thus looked to one true fighter for inspiration today
The fight is won or lost far away from witnesses - behind the lines, in the gym, and out there on the road, long before I dance under those lights.
-Muhammad Ali
I dont feel sorry for him he made his choices as a CEO they were not the right ones.
We all felt beat up (he is the only one acting like the loser here); will he be able to get my 3k back and my 1 year time spent with him in the ring?
Nope, so it is not only him that felt beaten up this year, but the investors that invested in a company that took a chance and didnt go anywhere. He didnt look what needed to be fixed and what was important and now its too late. (He needs to get over it and do something about it. Instead of spewing words that sound like defeat or to make im look like the victim.
Did you notice he has not come out with another PR since after the closing of the Biocells. That is a man admitting defeat...
No follow up or trying to say it will be alright dont worry we will be profitable by years end and 2011(fluff PR).
Why do you say that? I would like that as well, but I think this will stay at the level until a PR comes out
You didnt Hurt my feelings, told you it doesnt matter to me. Give me a reason why you think it is a Crock if he did that. Bottom line Matt needs to really needs to take control of the situation of the OS being high and the PPS continually dropping, before he goes any further.
Many people would agree that the OS should be priority # 1.
then the PPS should be #2
Trying to expand be #3
The Company is too big to be at this level of PPS. The problem being at this small PPS nobody notices...
Is being a reporting company doing anything for the company and for the investors?
Explain???
let me hear your opinion on why it is a crock instead of disagreeing in bad hurtful Comments... (it doesnt matter to me what you post of course, because it doesnt effect me)...
Very Unlikely this will POP in November. This has not even stablized for the whole year and it is at its lows, where it was before the freezer was open. This is not even showing the usual pattern from Last Sept. where it would spike from past times. This tells me this will not settle until it gets to .001...
Matt, Has done everything he was able to do as he felt should be done. Very Lax IMO. Believe it or Not a R/S was the only way this will head up (this might still be the answer to save it. The lower this goes the closer the R/S will be reguardless if this is good for the investor to make any money ***(but will do good for the company in the long run)***.
I am in a stock now that is rebuilding after a R/S of 1 to 5000. back in June, (this was trading in the high cents to 1.00 before the reverse split, but because of the High OS and debt. (The R/S was done to avoid dilution and to pay off debt, get rid of the debt, and the stock has jumped to 66% since Monday and is holding its Highs now jumping from .0001 to .0005 and has been holding for this week getting ready for a run. This company has been in business for 20 years and is pulling in a Profit. (ICO_)
Maybe Matt should of done a R/S first instead of diluting, this might have lifted off the ground instead of leaking down to nothing and such a huge OS.
I think Matt should of been concern of the OS before the Debt, even if had to do with a R/S getting rid of the debt(should of been first option, This wasnt at any level where it hurt the investor if he performed an R/S, then let it rebuild with openning of the Facility, might of had a positive result.
This stock is in UPside down Mode, and will have a hard time to pull out of this. No one will want to do a stock buyout at this level, too much of a risk and not enough exposure to take notice.
Maybe Matt for right now needs to pull his ability to be able to be a Reporting Company, until the Share structure can be addressed.
if I had the money I would buy in more / my plan is not to flip the stock. Better load up now before next week if any news comes out, the short term gain or profit would not be worth it, to find out what it could be next week..
not I (Im glad to hold my 10 million shares at .0002/.0003 and I will hold this even if it goes to .001
I would have to disagree on that it is called someone was making a bad call to load up at .0006 we all cant be right
sorry not going to do that for a little profit im in at .0002/.0003
why do you say that ??
I need detail why you come to that conclusion
it was a pump and dump during that float lockdown rummor /
I wouldnt as well im at the bottom so no big deal if it drops
you forgot the 7 mill of one sell just 2 min ago
if this doesnt move today wont be so bad funds wont clear til tomorrow. Need it to definitly move up tomorrow. 8mill @ .0002/.0003
7 at bid @ .0004
5 at Ask @ .0005
Sells are slowly increasing
still early no one wants to buy at .0005?
Well we will be good as long as no one sells the 4s
3x bid @ .0004 3x Ask .0006
1x Bid @ .0003 1x Ask .0007
2x Bid @ .0002 1x Ask .25
3x Bid @ .0001 2x Ask .50
hope it goes to .0006 today
that doesnt mean anything it needs to balance / I do like the .0006 on the ask though this morning could gap up
Good luck trying to get the word out then how else are you going to sell a product? There is no voice for the Company...
I have never seen a company that did not have a marketing Department.
He cant even say he is #4 in the US if no one knows about the Company..
Seriously besides this board How many even know that Cordblood America even exists?
Just because the company almost went Bankrupt back then because of Market strategy / That was a different time before we owned our own material and before we were storing for ourselves.
We can also say this is the new level where it will hold @.0006 until the next PR comes out, which should be next week EOM.. it is just building level
Im surprised this is at the lows where it was before the freezer openned I guess selling my shares didnt do much difference for the buy back for the longs did it?
Matt was doing just fine before all these deals were made, stopping outsourcing, and opening the freezer. At least you knew where it was at...
I say it will be back at .001 before you know it...
lol someone needed to take her out to eat at Burger King and sold some for $12.59 at the bid
thing is who is going to buy at 6s right now? looks like a stand still until the shorts get over it
WOOT back to 6 for the ask no one wanted to sell the shorts are getting burned
nah nah nah nah
No there is no diluting going on stop being ignorant
whoever is painting these 5s are killing the fun
Right now I like it even better 1xBid@.0005 3xAsk@.0006
little selling stong buying when it comes to the float... I expect this to run at least until friday... That is the day when the big profits are claimed
only issue with that is will the company be around to see it? I mean with all the cheap companies Matt, is buying-- cant really picture that.
But that is called the 10 year plan, if some still alive might have that sort of time to wait.
and you know what that was a smart investment as well no diluted stock and already did the RS thing and is rebuilding. This is going green...
pretty good with jumping to 168 Mill in volume from prior day almost 0 volume...
See ya in Vegas...
You guys are just to fun to pass up and not reply too.
ICOA up 66% @ .0005 and climbing. Financials next week Gap up in the Morning
I am safe here got 3 mill @ .0002 and around 5 mill @ .0003 very lucky to get that one in there righht before it rose today
ICOA is on the Move almost in the 5s from .0002 last week
could we see the 5s hit today?