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If there is a R/S, the 10k will probably come afterwards as to sustain upward monmentum of the pps, IMO.
SPRING BREAK? Looks more like SPRING BROKE.
Looks like this stalled, dilution done for today?
Once NEWS and FINANCIALS hit, they will see...
GET OVER IT, we're green, green, green...
Getting GREENER by the minute. Nice and steady.
Hopefully the financials come before the R/S, if there is one. The pps will increase at a higher percentage than post R/S. And the pps will hold up better in the long run.
Duming all they can before 4.5bil-AS news hits. Proably going to be ugly. Its a shame...
Regardless of R/S or not, financials will rule. And if projections are on track, we already have a good idea of whats coming... $ECIG$
Ask is getting slapped good. 14s coming up.
Too calm before this storm. Something AWESOME about to hit really big.
Maybe FINRA/SEC finally got on their asses. They settled down a lot and maybe they're at their bottom and can't risk any more losses, knowing ECIG is in MoonShot mode about to launch.
Few selling, everyone is holding tight.
After R/S= low float+ $150-250 million revenues= >$7pps
L2 looking crazy. MMs are scrambling for shares. They know they can't stop this monster...
Why is it stalled? Going to drop more?
Nothing but GREEN days here on out. $$$DOLLARLAND$$$
We KNOW what we OWN here. $$$DOLLARS$$$
Yep, looking GREAT. Holding DOLLAR stock here.
Looks like most are holding tight... going up.
Books must look pretty GOOD.
Hopefully we get a strong PR this morning.
Maybe a quick R/S and they're confident they sell off enough shares to pay it off.
Any restrictions on when they can sell converted shares?
Where will all the new shares come from?
Tomorrow will be INTERESTING.
'2015 guidance $150,000,000.00 – $200,000,000.00' maybe higher.
Nice size bids building up... ECIG ROCKS.
At least WNTR operations are moving in a positive direction. Not as fast as we would like, but I think we will be surprised when this all comes together. Holding steady here.
Is kind of like having two companies(administratively), but they are actually one. Check out investopedia to explain the terminology in better detail.
Not wrong. It's the MMs who are wrong. They've manipulated this stock for a long time. Not the companys fault. Some people panic because they don't know what they are holding. Fear of the unknown, works everytime and gives leverage to those that know how to exploit it.
Obvious what MMs were going to do. They were already lined up in the 13s this morning prior to opening. We would already be at .50 if it wasnt for the MM manipulation for the last couple of weeks. MFers.
The only acquisition was in getting our money.
Was that really the guys picture posted a while back, the biker looking dude standing by a car? He's our CEO?
MM manipulation at it's finest... 41.50% shorted yesterday.
They want this stock badly. SHORT REPORT-
Yesterday:
Mar 16 41.50% 0.17 0.14 0.15 8,435,226 20,327,740
Last week:
Mar 13 33.07% 0.19 0.15 0.16 15,478,438 46,804,910
Mar 12 38.67% 0.18 0.15 0.17 12,248,567 31,673,893
Mar 11 39.18% 0.15 0.12 0.15 8,391,538 21,418,458
Mar 10 37.28% 0.13 0.09 0.13 13,469,683 36,126,582
Mar 09 35.51% 0.10 0.07 0.09 8,989,419 25,312,691
Trying to hold it back to get all the shares they can eat up.
Lot of interest in ECIG.
Held up good considering high percentage short report.
Maybe thats their strategy, and lower R/S.
If NEWS hits this evening, better SLAP NOW.
Last 5min, SLAP IT HARD, we close GREEN.