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'sidsaldanha', 20mil shares @ .0001 = $2000 and was done most likely by the P&D Crew(s) that have this in their sights for their next Pump-Run.
Either that or some Fat-Finger Newb.
Other than that, don't get your hopes up!
Because in this Trump's era, NEOM should've already ran up out of the trips by now.
All curiosities will be satisfied after the next R/S Wipeout!
'lesnshawn'? while you're undeniably correct in every sense as it related to Stock/Companies that are of their namesake, NEOM doesn't fall within that category.
Therefore, your reasoning is unreasonable here!
Whereas I TOO have been here, watching, waiting, loosing, like many others.
But I've also learned the "ways of the pinksheets" quite a bit!
I know they're all largely frauds, scams and are only existing solely to make crooks rich.
(The millions of Pinks throughout the stock market that has all but became worth a single pixel on your display screen is a testament to their Return-on-Investment probabilities.)
which by this ratio is quite pathetically piss poor for the OTC players while just as extremely lucrative for the MM's and Inside players.
But also note that the monies vested into them only "Disappeared" FROM the Pockets of OTC players and INTO the Pockets of the MM's and Insiders!
NEOM is no different in performance than all the other P&D Schemes.
I can predict every conceivable move with NEOM at any given moment!
It's quite simple!
I need only to identify what Pinksheets typically do and NEOM will involuntarily follow suit!
Just like Clock Work!
Here's an example!
NEOM will not see past .0003 on the BID at any point for the remainder of this year!
Now, with all that you're "trying to" promote on their behalf, NEOM should see kiss over .003 at least once, by the EOY.
but it wont!
Simply because in order for NEOM to increase OTC, they stand the chances of loosing "money" into the hands of OTC Flippers!
Therefore, because OTC and MM's and Insiders are at opposite ends of the market, OTC will ALWAYS LOSE, simply because the MM's and Insiders are ALSO controlling the "Stock Prices"
Therefore, NEOM will ALWAYS be a Lose-Lose for anyone who puts money into it.
the only Win-Win are the "Controllers" of the Stock Prices, ergo, the MM/s and the Insides!
They'll ALWAYS WIN either way!
NEOM is just a conduit (Monetary funnel) to THEIR
advantage!
There will likely NEVER be any progress here in the best interests of OTC players!
While you may argue against this "FACT" with all your charts, DD, NEWS and what not, you'll eventually be subdued by the Facts of Reality!
Just like many before you!
(and before THEM)
However, if anyone insist on chasing their dreams here, the only opportunity here would be to RIDE the Waves of the P&D Crews that's been making their rounds from Pink to Pink!
Get the .0001's and sell the .0002 and move on!
Anything beyond this will result in what as already long since been experienced here!
'#1 PATRIOTS_RSOX FAN'? NOPE! WRONG! the CEO/Schadel himself, says differently about the matter!
'NestEggOTC', 427 MILLION in Volume is actually a GOOD THING!
That's Really quite a Bit of activity, considering........
And it's NOT all dumps!
that's just your panic talking..
As there are/were .0004's and .0005's buys which took this UP from the previous .0003's buys
But like I've already said, there's really lots of potentials Potentials here and this is only getting started!
There are wealthy players here who do not yet know it!
But they will!
Any proof?
NEOM: let's facial it! its Floating on Fat-Fingers!
The Biggest issues with these POS-Pinks, is that the insiders/MM's all counts on them tanking while the OTC counts on this raising!
Guess who's always the bankroller!
Now you know "WHY" this stays on the floor and will more likely remains there.
So Go ahead! BUY AWAY!
you're only doing the Insiders/MM's a huge favor!
'PNKBULLSHT' Publically Disclosing what AFPW's is about to do, would be considered "Leaking Inside Information"
a "breech of confidentiality" and would be illegal!!!
So he's quite Correct to watch what he says in the social media arenas and/or to generally keep his mouth shut about AFPW's next moves!
best bet is to stay ahead of the pack!
'nbketz4' & 'Arnold25764' I agree with Both of you!
So much is brewing under the collar of this Company that locking and loading couldn't be more compelling!
This thing is about to explode and eventually more players will likely be flocking to the loading docks!
A jump from .0002/3 to .001/09 is an easy bag of peanuts at this stage in the game!
Could happen quick!
'I-Glow' Yet AFPW's positive outlook keeps players returning here!
No matter what is said, the "Attraction" is just too irresistible!
Players just cant help but to keep coming back here!
So much could happen so fast that THEY KNOW they could miss out on quite a quit here!
A much stronger resistance will occur!
Aint no stopping it now!
She's got the groove!
And there's really nothing you can do!
Aint no stopping it now!
'Arnold25764' You are Correct! it most likely will do just that!
but always know that the potential here is far too great to be ignored!
They just "CANT STAY AWAY" from here!
and for a VERY GOOD REASON!
The positive outlook for this company/stock is so compelling that it keeps players flocking back here!
'nbketz4' you might want to move that wish to next week!
Because every Friday is known for weekend selloffs across the markets.
(With some exceptions)
There are two point where dips occur!
Mornings and weekends.
but here's the breakdown!
Every morning between 9:45 through 10:59 are mostly selling.
Then somewhere about 11:00 through 11:59 is typically the "what and see" zone.
Then from about noon through closing bell is when the trading games actually gets more active!
It's been like this with almost every stock for quite some time!
However, the rich or market-veterans will likely never tell you this because they make the bulk of their monies off weak and illiterate hands!
That said, you're otherwise accurate of future increases here.
'fahrenheitjules' $1
'cbuontempo', NO! because Schandel/CEO, like YOU and everyone else who aren't novices of the stock market, wouldn't likely have only "ONE" stock in his entire portfolio!
Practically every corporation has their hands in several stocks at varying genres across the board!
from Pinks to Fortune 500's
Therefore it should be expected of Schandel, CEO of AFPW, to do the same!
No company or common player would likely survive by just ONE STOCK in which to place all their eggs!
They would diversify!
Had you been the CEO of this company, would you not have done the same?
I'll answer that for you! "YES YOU WOULD!"
so why bash him for doing what you would do if you were in his position!
Besides, AFPW is only moving as relatively fast as any other company would towards their goals!
None of which has occurred within a blink of an eye!
Can you name one that has?
AFPW: GOOD REASON for high expectations here! Given that there are millions of other stocks/companies and their forums to chose from, it speaks "VOLUMES" to select being here ahead of all other options!
The Potential is so self-evident that players of all kinds and beliefs are drawn here like a magnet!
just cant stay away!
And for a GOOD REASON!
'Alinea818' Actually the REAL R/S breakdown is that Current shareholders will lose everything!
All these Pinksheets that performs these R/S has resulted in little to NO benefits to shareholders!
Technically it's a "due-Processed" rip-off scheme!
1/ All the R/S does, typically, is displaces the decimal point above the floor, making room to dilute back down to it!
example; if the pre-Split PPS is .0004 on an RS of 1:500, the Post-Split = .2/share! (20 cents a share)
Sound and looks good, right? -----WRONG!
At least not good for the shareholders!
Because your pre-split shares are reduced by the post-spit amount!
example; 1,000,000 shares on a 1:500 R/S becomes just 2000 shares!
If you were to sell 2000 shares @ .2/share = $400
(post-split)
Which maintains the overall ratio of 1'mil shares @ .0004 = $400 (Pre-Split)
As you can see, only the ratio/decimal changed but the "market value" of your position remains the same!
Well, not quite for those having accounts with brokers that charges a "Re-org fee" for processing the split.
So you also lose money for every R/S that takes on a stock you own.
But here's the fun part!
Typically, the PPS tanks following every R/S done by a pinksheet company!
The $400 seed money you started out with remains constant.
But you DO lose parentages of ownership of "YOUR" $400 investment with every down tick as the insiders GAINS ownership of "YOUR" investment per down tick!
Therefore the lost of all of your $400 investment only means the insiders have pocketed it!
Which is typically what happens following every R/S done by pinksheets!
Because the PPS Post-split ends up tanked/diluted back down to its pre-split prices!
All while your remaining 2000 post-split shares are valued at just 80 cents!
Concluding the math;
Your initial $400 interment - (Brokerage R/S fee) - (.80 post R/S) =
[399.2 - (broker Fee)] = your total loss!
You are totally "in the negative"
The only winners are the Insiders ($399.2 you lost) and Brokers(Fees you paid)!
This is why an R/S done in the pinks are likely never a win for shareholders, while virtually free monies for the insiders!
'Arnold25764' yes! They'll slapping_the_'sssSHARES'_out_that_'ASK'
HARD!
'Arnold25764' that's a given! But I always "tune-out" the negatives here.
Load, Hold, watch it Unfold and collecting cheap chips on the dips!
This motha is going places and I intend to be on this train when it does!
The Next stop?
Grand Central Station 0.001
'stockpro3434' except that I DO KNOW what I'm posting about
and I KNOW
it's quite accurate to what goes on down here!
The typical pinksheet company is a place where everyone wins except those who puts money into them!
They're FUNDED by whatever it takes to part suckers of their monies!
They're HELD in place by the sustained number of available suckers!
'stockpro3434', A Commenter asked, "Why won't my shares sell and there's millions of volume every day? Doesn't make sense." And I responded because of 5th digit dumps!
Here's my chart that shows why high volumes don't always mean OTC trades!
Which is WHY these pinks seldom ever rise much off the floor!
From the chart you can see the MM's can buy/sell in the 5th digits and make total bank without competing for shares with the OTC Players.
Simply because the OTC's trading platforms are truncated to the 4th digits.
(and why the Pink-House always wins)
For example, when MM's play .00001 through .0004 on the BID, the OTC displays '0000'
when MM's play .00005 through .00014 on the ASK, the OTC displays '0001'
So the MM's can buy at .00005 to flip at .00014 and the OTC would see only the VOLUME of shares being exchanged, without any "Displayed" changes in the stock price!
Now you know why these pinks are constantly being pushed down to a value that bottoms out the OTC 4th digit competition!
simply because it's all free money in the 5th and beyond their reach!
'Arnold25764' Roger that! I'm already all over it!
'9' will be kissed again here and onwards!
I'm all locked and loaded with what I "CAN AFFORD" to play with here!
But like I said before, by this summer the .001 may be the new .0001's
if I may add, By the end of the year the .01's may be the new .0001's and likewise to be doubted of going up any further!
only to then watch it do so!
'#1 PATRIOTS_RSOX FAN' you also said no BID would ever come then it since ran over 5!
Truth is, NO ONE can make 100% accurate predictions on what will happen here!
yet we all, for the most part, agree this will run hard soon!
I've even recently got into this for the long haul!
I expect this will not only be eventually uplisted, but will ultimately become a revenue generating company!
This is a keeper!
And I'm keeping it!
Load, Hold and Watch it Unfold while collecting cheap chips on panic Dips!
'MIKEY501' Don't sorry! GOOD NEWS is Due soon enough!
As I recall, there's some to happen with AFPW by the 31th
(Tomorrow)
May be a good run-primer for the month of April/may!
Load, Hold and watch it unfold!
'powercrush86' CORRECT! NOTHING TOXIC HERE BUD! but I hardly call selling at .0003's a panic.
Players who invest in more than they could afford are likely more sensitive to menial changes in the stock price(s).
(and panic just as easily)
But those who CAN AFFORD what they play with,
--are better likely to reap rewards over the long haul, as has already been demonstrated.
They're the ones who held their lower .000's and saw higher .000's with potentially greater values on the horizon here.
By this summer, these values may be long forgotten and where .00's or more will likely be the .000's equivalence of today.
'Rainer' also an opportunity for AFPW to shine its Backup-Power units that they've bragged about in their previous presses.
If there was a moment to cease, now would be that moment to hit a home-run!
AFPW should use this opportunity to rollout everything they'd like to showcase.
If during their clean up, they're able to provide power at supposedly far less than average costs, (as they boasted) they'd likely go steeply vertical also within days/weeks.
the company's involvement in this cleanup alone is in itself putting afpw in a different set of spotlights!
only to then be further SOLD by their accomplishments in the actual cleanup process!
At which point they'll be catching a whole new Environment of attention!
We talking about taking part in cleaning up a disaster!
This is huge headline stuff!
Even likely at the Presidential Level.
Hell the publicity alone should put afpw on the mainstream world news medias yet alone the rippling effects of investor interests turning heads and taking notice!
If I owned this company, I would turn this opportunity into one hell of a marketing campaign that would practically sell itself!
This could be a huge win-win for Afpw if they play their cards right!
'OTC Knight' that's a given. 3's will fall again as credible reasons for it continues to mount up.
while the stock market isn't for the unskilled and impatient players, they're nonetheless a large percentage of the pinksheet world.
I was in a stock that was .0002 coming out of December/2016 through January-2017 that shot up over .01 just in the last few weeks and now valued over $17k
however, impatience would have forfeited it all.
just as AFPW went from .0001 to over .0007 to everyone's surprise.
but the .0001's holder and 1-tick flippers took profits and the stock price reacted accordingly as should be expected.
But this didn't kill the stock/company in itself as preached from missed opportunities. (wink-wink!)
The potential momentum is still there and as the summer approaches so will the gains/recovery of the stock price.
just a note:
while the .0001's holder flipped throughout the rise to .0009, there were tons of buyers along the way!
that means there are many new holders/loaders between the .0002's through the .0009's, therefore, their equivalent .0001's will be in the .001 through .002's accordingly.
when AFPW reaches those prices, driven by upcoming accomplishments, there will yet be more loaders and holders from the .001's through the .002's and their .0001's equivalent will be in the .0021 through .003's and so on accordingly.
that's the way it all works.
The required patience wins in the end and likely why board stocks are typically avoided by impatient players.