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lol
thanks man
because of the spread IMO
MM's do not want much buying right now
they are short a huge amount of shares
lol.....did you get the memo from yesterday? The one that discussed what was going to be in today's memo?
Guys, I didnt get the memo this morning. I was expecting something a little different!!!!!!!! Can someone who got teh memo send me a private message please?
thanks in advance
he is a DD monster....and we havent even begun digging up what needs to be shared here.....excellent person to have on board
hey Jim....I always keep one eye on you brother
you cant win em all, but you sure do have eye for the good ones
cj....I trade/invest based on fundamentals and DD. I am CPA and love to spend hours reading 10Q's and K's. I love to invest in situations where the larger players have incentive to drive the PPS much higher than where it is today. I have also learned over the years, that ignoring the technical's can get you into real trouble. Why I have added over 10M shares here thus far....
1) debt converted into restricted shares
2) BEST Cornell deal I have ever seen with a rising conversion price 5% below market, and does not cap until $0.10
3) technical's have been amazing now for several months, and the longer term trend is clearly being defined every day
4) CEO is a man of integrity and has a prove acquisition history - delays in business will happen, Arne will communicate with us and tell us what is going on
5) the digital signage market is going to be enormous, and we will be a big player in it
6) LOTS and LOTS of news to maintain momentum and generate interest - acquisitions and partnerships with industry leaders are either in the works or have been signed already
7) I can assure you that the short position here is at least 50M shares - short squeeze is inevitable
8) L2 looks excellent and has for weeks.....I watch it every day
9) I say we hit a dime in the next 3 months
that is it for now
what a great consolidation going on here..........we have almost traded the entire float in and around the $0.006 mark teh past 6 or 7 days..........it is ready for the next leg up.....many eyes are on us now
GUYS, we are going to get many new shareholders and visitors to our board the next few days and weeks. It is important that we keep this board clean of all the BS, useless posts and personal attacks. It should act as a forum for people to support each other with DD and provide useful information. As it stands, a new reader who comes here has to read a lot of crap to get a little info. It should not be that way. Too much positive going on here. We want to grow our base of string long term holders.
it has not yet.....you are correct.......anticipation is high.....
good luck to all of us
up 17% before lunch is not too bad..........lol.....we will get another push here real soon......MM's are real short and will not let it go too fast yet........
he is just excited........like when you know something is going to mental and you have a front row seat.......cant wait for it to start.......
first hour volume excellent at almost 9M.......we should crack 40M+ today
MM's moving out and exposing the retail sellers............ETRD left alone on the ask again...
6 MM's from here to a penny..........
Arne has told us they are VERY close now.......
I can also tell you that between myself a few other big holders here, we own half the float. MM's are short, and will need to cover. Nothing like a big time run fueled by big news and a crap load of short covering.......it will be the perfect storm.
no need to thank him or any of us.....we are loading up so that we can make a fortune.........Arne is the man, and has my 100% support.........he has had a history of major success.
settle down cj, you want a hanndful of us to own all of them???? I am also over 10M now...........
see you at a dime......
hit the ask now......tomorrow is a different game around here..............
buying or selling??????????
lol...........
someone take out AUTO and we are off to the races..........
I just took out $0.0058
that was the craziest shake I have ever seen in my years trading............
chris, I will pound 200,000 shares at the ask into the close.....regardless of what the price is..........
I think we go mental here tomorrow.........
wow a $12.50 buy at the ask.........BIG SPENDER HERE FOLKS
Mets, I dont care what the volume is. The business plan is being executed perfectly by our CEO. The revenues are rising each day, and our PPS will follow. If not, the company can buy back all the shares and retire them. Then you and I will be the only shareholders, and we can sell to each other at $5 a share.
thanks ABBY
ur level 2 attachment is not the correct stock.......lol
abby, do you mind explainning this a bit more for us chart dumb fundamental investors?
thanks in advance
way too smart a trader to do soemthing stupid like that......
CJ, I got another 330K at $0.0047...........also have an order in now above the bid being shown.....I think MM's are getting ready to let this one loose!!!!!!!!!!!!!
lol....1250 shares totalling $51.25?
traz, I am with you....the PAINT is already fully dry.....in fact its so dry, it is starting to peal off the wall......its time for the party to start.
cj, I dont think the MM's lost anyhting. They know exaclty what they are doing. Looks to me like the big shake before the big run. Clearing out stop losses and weak hands before we go. News is very likely to be very close now IMO.
who did that cj?
what kind of an idiot just did that? I went to the bathroom and missed it all.......DAMN shame....it why we should always have stupidly low open orders. The MM's just gave it to someone hard,,,,I could have bought shares at $0.0031? oh my goodness...........
got it my man.......
G....ask you self this. At what PPS does Cornel start to make the most money? The answer is well over $0.10. So, is it a good idea to buy at $0.006? DAMN RIGHT!!!!!!!!!!!!!!!!
G, I completely disagree. The Cornel deal is why I am here and continue to add. Cornell will allow this to go to at least $0.20 before they convert the majority fo their shares. That is the only way they are guaranteed a 100% return.
This is not a typical Cornel deal. Our CEO has put together a thing of beauty with this deal.
Good day all.
I am back......had to take a month off from the board....to recover from XKEM.
I am loaded in SFNL and AWYI, and continue to add both. I believe by this time next year, I will be a very rich man.
Good luck to all my good freinds here.
Sorry for not being around. I realy did need a month away.
Good luck all.
Not in this case bud. This is not a typical Cornel deal.
Cornel hold series A pref shares......They had 160 of them and now have about 149. They converted the 11 in to 95M shares at an average of $0.0011 during 2007 - these have already hit the float. They sell as soon as they convert.
They can convert the rest any time, but they can convert at the lessor of $0.10 or 95% of the last 20 trading day average. Cornel's conversion price keeps going up, and it is in their best interest here to have the price continue to rise. It is actualy in Cornel's best interst to have the PPS rise to well above $0.10. That way they can convert at $0.10 and sell at much higher. As long as the PPS is below a dime, Cornel is not a problem here. They are getting their shares at a 5% discount to what we can buy them at.
I have loaded the boat here and continue to add. Cornel will support the PPS in an up motion to well over $0.10. this may take some time, but they are in no rush. They only make multi bag profits at $0.20+. Cornel is not satisfied with small gains. The risk/return profile does not make any sense for them.
Those that truly understand this deal are buying every share they can at these levels.