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Looking good today, let's close in the 3's and say bye to the 2's for good.
Let's close this at .03
We've had 3 days of nice consolidation, let's hope for some great news or no news to keep moving next week.
Nice consolidation day.
Maybe for once this coming Tuesday we will get a real contract PR.
Seems like they might let it run.
NITE really wants some shares
Higher highs coming.
Either way too much demand for CERP shares, big money is on this one.
What would be the worst feeling, (1)to know you could have sold at a high but didn't and now you have to wait a bit longer but at least you have your shares or (2) finding out that you sold at the low for a loss or no profit and now you will have to chase to get less shares. I'd say 2 and that's for all of you that panic these last two days.
Let's close solid in the 3's and it's on for tomorrow.
High 3's low 4's tomorrow.
CERP making its way back to the top 10.
And the chart is reset for a big green day tomorrow.
3's on deck GO CERP
Seems like we might resume our uptrend from here, .10 + coming.
Once again not going nowhere until MM MAXM stops selling shares, I believe the other ones are retail.
Theres MAXM again selling shares.
We all know there is dilution going on and that they have a big debt with not much revenue coming in as of now but what I would like to know is who the hell keeps buying all these shares, I mean huge blocks and despite all the selling pressure this holds up well, that's the reason why I'm holding on to my 500k shares, there has to be more to this story and I will wait to find out.
This isnt moving until MAXM gets the hell out of the way with his 10k fake ask.
There is great bid support at .026
If a marijuana stock can be at 15 cents with over 800 million shares outstanding, CERP can easily be at .10 and we will see that or more sometime this year, just watch and learn.
Hopefully since the ban in Italy goes into effect this Monday we get our first contract PR on Tuesday, that would be sweet.
MAXM is selling shares, he has been sitting there with 10k for a while.
While the company is diluting it does create selling pressure but even if they went up to 600 mil O/S and then are able to stop we could still go to .10+ many big investors will hold. Right now it's only affecting the day traders.
Looks like it wants to stabilize at around .026. If this holds today it might be bottom.
Can't believe how many people are selling at a loss.
It's also being manipulated.
Panic sellers.
I hope that everyone that wanted out got out today and we can move forward.
Nice accumulation today in the low 3's
I've seen this scenario many times before, the stock drops day after financials are out but then recovers back the following day, don't know why that happens but it happens quite often.
If they don't bid whack anymore we could close above .036
That would be great, and the shares I got under .03 would look amazing.
Seems like someone wants to keep loading at this levels before they let it run.
It could also be shorting, but it will recover.
This will rebound after today.
Ask looks thin all the way to 4's
I think he mentioned new contracts within weeks.
We should close at least high 3's or low 4's