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Well, I can't help but buy this up.. LOL, I don't care if it never goes anywhere. ITs way too cheap!!
Ahh, slept on it, feel refreshed and have a whole new attitude. I guess I realize its the board that spiked my optimism and that the stock itself performed the way it should have. 3 months.. The reports is for 3 months and doesn't show any negatives.. The board's wants VS the company's goals and growth are 2 completely different things. If someone hired me to run a business and said you have 3 months to generate over a million dollars in sales without a sales staff, limited money for marketing, and run the entire company in the meantime.. Well.. That would be truely remarkable.. We SHOULD be green today. The hurt feeling holders and the mid term flippers will likily sell but there will be a while new group of investors gets ready for the next run. Take these results and compare them with a couple other stocks you own and see how it is performing.. I have behl and mcln to help keep things in perspective.. Now those are a couple of dogs!!..
Thanks for reading and anyone still around for the next filing has the good fortune to listen to me BASHING this stock around filing time... We need to keep expectations in check next year to keep the investor base strong.
Dude, You are an idiot.. The market will tell you in the morning. The board is dissapointed, myself included but I have no plans on selling. The ones you have scared the crap out of with BS talk might sell but in all actuality,the market controls the price. You can never assume. It just clarified for some investers that they are not losing money and that they have turned the corner and may still get into retail shop. They have sustainability, they have a good product, it may or may not be the next greatest thing but the marketing department is failing.. Give them time and they will identify a few things that will stick and the word will start getting out. I have never seen a comercial so I knew the sales were not going to be good. I was hoping I was wrong but and am pissed that Ia m going to have to wait another 3 months but oh well, So I have to wait another 3 months, watch the price dop for a bit.. What you should be doing right now is looking at the number of shares and the number of orders. This times 5 and you have your share price.. Then take into account a realistic Q2 sales number and start your projections.. Is there money to be made... lets see.. hmm, carry the 1... scratch my head.. Yup.. There is money to be made. The upside potential is amazing while the downside is that it sits here undervalued for ever.. Shake off the dissapointment and get ready for Q2.. How many times have you seen a report come out that was so good everyone surprised.. Hmm, never..
He is licking his wounds like the rest of us.. I have lost the romance with this company so its back to business... Show me the sales info, retail contracts, business partnerships, etc and I will buy more stock. Trick me once, shame on you.. Trick me twice, shame on me..
I am still waiting for the guy to say.. "Going down, down, down, like a burning bulb on fire".. C'mon, I need a good laugh here!!!
Anyway, I can't sell at a loss so I guess I will be here for Q2 to see how it plays out.. Everyone will be talking about going to .005 and how much money they will make and I will be thinking.. If it can just get back to .0058 I will break even.. ugg. Oh well. Turning on Johnny Cash ans listing ot the song while singing my own lyrics.. Too bad I quit drinking or it would definately be a wisky night.
lol.. Um, ok..
BTW, ELCR is going to test .0055 tomorrow..
While I agree mostly with your comment I do have to say that everyone game him the benefit of the doubt. Same ol' same ol'.
At least me know what we are dealing with so its a whole new game now. The New CEO was half of the conveived value of this stock..
LOl, or if you are a savvy investor you sell on the dump tommorow and take that money to reinvest at the bottom and let the clim begin. They always dump and then bounce.. Here is my money bet... Sell over 1 cent and take your losses. Buy back @ 005 and you will be more than ready for Q2 with twice the share count.. Its all a game... I'll play hand and you can hold yours.
I knew this would happen, just let the board give me too much optimism and got sucked in.. Back to TA. From the bottom I will be able to predict what is going to happen next.
listen closer than.. lol...Huge bummer, I think I am going to stick to my buy on crap and sell on hope / news.
I am going to be holding this one for quite some time but I will not get blindsided by the next financial news. Will take profits when I can and chase later if I need to... Should be some money to be had after the bottom falls out which I expect will be over the course of the next week. Look out below!! I actually wanted to belive the "they just don't release much news because they are so buy line".. Lol, I am so gullable sometimes. Been a fun run.
Amen... Well, I will forgive but I am not sure I will forget...
LMAO!! I thought the same thing when I saw the double top.. I actually put in for a sell just out of habit and realized what was doing.. Need some more coffee to make sure I don't screw up my portfolio today..
Good luck all.
Its always the the "one" that might even show a profit that drives volume.. From there its runner runner. The volume is way down so this pps is garbage. Can't wait to see what we are in for. Might be a really fun week..
Yep, the sell off continues.. 10k flop and I am going to form an emotional responce to this stock and it won't be a good one...Good thing I am ELCR.. The only shining part of the day.
Only that you are out of your mind.. lol.. We haven't officially turned up yet.. ITs going to take a little more time but I am ok with that.
Yep, But I am so fn torqued off that they aren't posted yet. IF they were good they would be filed and / or a pr stating what is going on. I hope this issues are on the filing side and not MCLN... Friggin ARG!!
You don't need to worry about shorting when everyone was expecting a filing and news today.. Remarkable..
No filing and this stock DUMPS... We all think / thought the new CEO was different. Actions speak louder than words. He has until the end of the day or I am calling BS and moving before it tanks. I still have hope but honestly, if there was great news to be had he would be screaming it from the rof tops.
Nope, solid for now... If the loan from greese defaults then the dollar and the yen will be the norm until they for a one world currency. Then its just a matter of time until hyperinflation sets in and brings the financial system crashing down. lol.. I am full of uplifting info.. happy weekend!
LOl, I don't mean to tease but you can make your trades as hidden if you like.. Both sellers and buyers can. That why when you see a pump and dump, the first few high volume trades go under the radar and people keep looking at both the L2 and individual trades to WTF is happening. I am a long here and share the sentiments that we want this all to succeed. The only way this company will get out of the hedge funk is to have a substancial earning and to get the notes ( that they have used stock as the securing agent) paid off and into a standard business loan. This way the hedge funds do not use the stocks against them by shorting to keep the price down. By doing this the hedge fund makes 20X the money they otherwise would. If you want lagistics and practicalities on the issue hit up "67" on the MCLN board.
Great post I am completely agree with everything except.. Like mentioned earlier, thay HAD to uplist to keep the sales deal going... Trust me, I want this to run as much if not ore than anyone else on the board. Monday will make some of us look like a genious and others a tard..
PR out... Not a good timing.. Fridays always spell bad news.
Financials will be disclosed monday along with a conference call.
Guess we are in for a chart changer... Hope it much hgher much faster.
Dannol, You are an animal.. You actually have indicators you follow to dig the truth out of the pr's.. I am so in awe of your DD I cannot even begin to explain it. Great info.. Thanks and I hope I didn't offend anyone. Some times I can come across a little rash. Either way, I have my position as well as everyone else. It should be an interesting ride. Good luck all. Its Friday and my Son's 10th Bday.. Time to go play a chile again. Tossing aroudn the pig skin and a few grass stains should make momma happy.
Hope the everyone is happy. I sold the last of my shares and made money but any chance of playing this is no longer on the table. See your member fAt is basically poison on the forum which sucks the joy out of trading this stock. I am sure I am not the only one who has had to sit here an watch the trainwreck unfold. Myself and many others are no longer in which is bad for both the other members but the company as well. Why someone would sit around here for 3 years of his life without a vested interest other than to bask is beyond me.. a Sad and pitiful life.
You Win FAT.. Good for you, hope you are proud. Good luck all, If any of you and if anyone asks. I'll tell them to look up fAt on the forum and see what a nice place it is to hang out.
Don't you mean FORTUNATELY I am off base. Just calling it like I see it, If you read my other posts you will see that I purchased another pile of shares today to show everyone just how silly the MM'ers were being. I boung a few hundred k @ from .041 to .039.
There are 2 completely different games going on here. The MM are still trying to drive share price down. I called the bluff and while MCLN is still in the red for today I am GREEN. This really goes to speak of the volitility of the stock. It hasn't moved much since then. If you look at the L2 you will see NITE sitting at .0155 and then ETMM at .017.. They want this to RUN. They are all full. You want this to run, I want this to run. If the 10Q is crap we ( including MM ) lose money! The lack of volume says that everyone is ready. I also agree with Dannol that this is a great long term play, I do however think that any announcements of sales do not need to specify the hospital. A PR stating they can 3 new contracts would have driven this up prior to mondays potential release. Contracts without revenue mean nothing, revenue without contracts would be great but in my mind to maintain stability... no revenue and a contract in your back pocket would maintain PPS and it the play I think they will execute. This is what I would do. No need to spil the beans and then show zero $$. That would cause an epic dump. As it is, There is not much here and the PPs being up from JAN is huge for them in buying and negociating power. Without it, they will have to dillute to obtain the results they are looking for. They will be huge. I think its just not quite here yet. Yes I am long in MCLN and am CONFIDENT they will be successful.. Sorry if I changed your retuirement plans back a couple months but you will soon be able to retire.. Trust me.. If we see confirmed contracts thruogh the cycle leading up to the next financial statement then rest assured.. Thats when we will know its Go Time... Managing expectations is the only thing we can do at this point. Fromt the sentiment of the board, if they they are barely profitable we will see a dump.. I don't want that, it will set everyone back months..
WTF.. Ok, I am burning all my posts which I am going ro regret later but we have 1 offer for the last of the .14's!!! when it falls all hell is going to break lose.. Seriously.. All friggin hell is going to beak lose and we will close in the 18's today
LOL, Ok you guys.. You SHOULD be buying.. Seriously, I picked up a pile this morning @ .014 and am still trying to get filled @ .0138 which I assume will not happen. We are very thin which is where we need this to be for a HUGE runner.. The longer it sits below the MA200 the more investors are going to dump. If the 10k is any indication of your resolve then god help us. There are people stacking up at the .145, 143, 140, 138 ranges.. They all see CLEARLY that this is a confirmed buy. This will run SO HARD if news is good or might even take off today... Final shake has been completed and we are ready..
BTW, did you notice just how easy it was to shake the market and I am only one investor.. Not even a MM.. Just a guy with a computer that has been doing this a while. With the last trade @ .0148 I show unrealized gains of ( after fees ) of $152 and we are not even to the show yet.. Buy all the 14's you can get.. It will not fall below the MA is increasing every day.. This afternoon is going to be fun..
ok, 2 MM at .0141 and 2 at .014.. Screw it, Here comes another other for .0142... If they want to give 'em up, I'll take em.
Just placed, looks like ETMM is handling my trade.
And they filled me at .0141... Going in for more..
Just got anothert 50k shares.. Lets try to get some at 14..
WOW, just 95k more at 14.. Lets try for 13.9.. I'll hold this until 2020 at these prices.
Only 9 min left to edit this post.
They only filled 5000 of my 100k at .0138.. I am sitting at over 5 mil now.. If we don't get good news you are going to hear my comaining for a long time Dannol.. Seems I have single handedly shoot a few hands. I am going to keep adding until the 141's are gone off the ask. There can't be many more people scared to death right now. Once I get these shares and we hold tight we will have a much better base.. Having a hard time getting the .038's..
For those who have been following my trades this am.. This is a perfect example of how much volitility this stock has right now. There are not many more shares to be had until we bust the sellers.. You can see that the .0155's are where NITE wants to sell his accumulation at a good profit. then you can see ETMM at 17.. This little panic I have created is going to cause this stock to trade in the 17's today..
Agreed, Dannol is definately a superstar on the board. As for the long position, Yep, That is where I am at. There are a few posters that I feel like jumped in and might not be able to afford the short term loss for much larger future gains. Anyone that thinks I am bashing the stock is completely wrong. Just voicing my opinion as to what I think the short term is. I am not going anywhere or selling any time soon. I am completely confident in MCLN and that the profits will be here.. Just trying to be patient and make sure everyones expectations are in line to avoid a panic selling should things not be as rosey as many are thinking they will be. Good luck and we should know in a couple days. Honestly, I am sure you have ready it before. No News on Fridays is a GOOD sign. Monday is looking brighter already.Oh, and typically MM cover shorts on Friday's because they 1. Hate going into the weekend needing to cover and 2... Mondays are when all the great PR's typically come out..
Sorry Dannol, not trying to trash this stock, Just saying that the trading is speaking to me. The Volume is not picking up and we are at the yearly low. traditionally you will see stocks run at times like this is there is going to be god news. I know insider trading is illegal but I also know what a couple beer amongst buddies can lead to and I have not seen any of these indicators. I have been looking for a handful of purchased in the mil range at the ask.. ( the get rich quick buddy types are not patient and almost always hit the ask ). We both know I am upside down on this stock but hanging tuff. We are at 15... We need a good 10Q
Lol, I saw a sham-wow commercial a couple days ago n Spike TV where the guy was rapping the sham-wow jingle. I saw another one for snuggies with College sports prints on them. Every morning it seems I see the P90X commercial, The Shark Vaccum, the chop-it, that stupid device you slide under windows and doors to control leaks.. I could go on but I need to make some breakfast.. Everyone, with me me now... Just "Set it and forget it".. lol.
sorry but I have not seen on of these infomercials.. and of all people, I think I would be the one who had.
We do.. I am confident they do not have any contracts or we would have heard about it. Financials are going to be weak at best. The stock is going to go down unless we are close to break even and have potential... But all is not lost.. They are just slower than our expectations. If anyone here is looking to get out with a profit will likily be dissapointed until later on in the year.
I know its been said a milion times but Q2, Q3 is where we will see it...lol.. The stock is cheap right now, it will likily get cheaper but this is still a good play. Not a flipper play but a solid play none the less.
Good luck all. Still holding, just not with as much optimism.
The best news of the day... NO NEWS!!! I hate news on fridays.. Its almost always BAD!!! Especially if its posted after hours..
Everybody... SSShhhhh.... don't say a thing.
How many people have actually seen advertisements for the ionic bulb? besides digging through youtube or going to the site? I know they mentioned advertising and infomercials but I have yet to see one or any reference to this bulb or company other than in the investing communities.... To me this dampens the potential sales number markedly. furthermore I can't help but think the sales may very well be less than a mil.. The financials at this point aren't what I am looking forward to. I am hoping they are good but a retail deal is the only thing that will move this PPS. I am often wrong but I can't help but feel like we are all set up for dissapointment... thoughts?
Sweet Setup!!!
You don't suppose this could be ZVTK, they are talking about do you???
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Actually, we need for everyone to relax, sell their shares, watch as the confident investors buy cheap and wait for the financials to be released. getting lip service will not make sales any faster. Just be patient and we will be just fine.
Brutal Day.. MM maintained all trading today. swings from .014 to .018 and not even building or falling. Just all over the place. WTF.. They can't even make up their minds.. They are going to hold the the .0145 bottom until financials are released.
Guess what they will have in store for us tomorrow... Its sad really, waiting for someone else to deturmine our fait.
BEHL L2 is BS!! I cannot get filled at the ask and they cannot sell... 100 size for a dot trips is crap.. WFT is going on??
I might be shrewed but not an idiot. I held as long as I could and pulled the trigger @ .215.. didn't get filled until .223.
The chart did proove true but I was overly optimistic at my entry point. the market dropping like it did should have had more impact. I feel good about my entry point because it started turning before the market recovered which is a huge plus.. Glad to be here with you all!
Ah, did not know that. So NITE is feeding shares to ETMM and leeping the other MM at bay.. Nice.. Oh well, let the other MM get full so they will let it run.. Would be a nice change of pace.
More MM games today. They are still trying but nothing seems to be working. Looks like the the shakable are out.. The funny part is NITE is not on the big or ask.. ETMM and SEAB must be the ones needing to cover.. Everyone should have been full by now.. The fact that they aren't means they must have shorted the Hell out of this stock and are still trying to cover... If they release good earnings we not only get a "REAL" increase in volume but a chance to stick it to a couple of the MM'ers... Me likey!