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Saturday morning... Porcelain usually.
Hahaha! Good one!
lol I'm in Hungary
Saw a good amount of ecig and vape shops in Vienna, and they offer free sampling, much like the Total Vapor model. Seems to be a first world hit, guys. The Vapor Group is a leader in a disruptive global market and that's why I own shares. If we can get serious this week we can see the 100 dma before pullback. Seems to be what all these stocks are doing and catalyst is inbound early this week. Hoping to see the ones that already made that move have another strong run to their 200 dmas. Clear those resistance points before election results + positive results = guaranteed huge run again through spring. If leadership can demonstrate continued growth then the run will be more sustainable fundamentally and not just hype. Still expecting a huge pump up from crowd mentality though so be sure to take profits when your shares hit .30 ;)
I agree. VPOR should be following that same pattern. Honestly this week is the "no excuse" week for me. I'm okay with lagging the main tickers but if we go lower my confidence in this "run" will be very low. I refuse to believe that a few Twitter guys can prevent this from moving. The news should be Monday and technically this week should be very green. Why waste more of our time by withholding until Tuesday?
In my optimistic opinion, the worst is over for VPOR shareholders. This was another green week with a reversal candle. Saw some profit taking and got some confirmation that news will hit next week with minimum info of either restructuring or elimination of Hanover. The first is most probable. Companies like Hanover seek to hedge their bets by taking an opposite position against their financing terms. In this case it was a large short, to guarantee a return. As long as VPOR has been able to improve their riskiness perception to Hanover, they should get better terms and Hanover will likely be less aggressive. They might even run the stock upward at this point under the guise of the MMJ boom since they become shareholders next week. Debt is necessary to grow a business to proper scale to where it can sustain itself. The Vapor Group is nowhere near finished expanding at this point and there will be more debt along the way. More shorts covered this week and volume was huge. Our base has formed and should allow a more sustained climb. Industry is heating up and should do some more running next week. Let's put her on cruise control through spring. Im en route to Vienna, Austria for the weekend. Have s good one longs!
Interesting note: I requested a handful of Magna (Hanover) execs to connect on LinkedIn a few weeks back- got no response until just now... The ceo and managing director just accepted. Interesting timing...
Wolf of Weed St. Has been telling his subscribers not to hold overnight and only to flip this stock. Perfect time for him and his minions to accumulate at EOD.
E trade flipper on the ask. Not worthy of his shares... Someone pick them up
BNY Mellon capital markets llc
Google Elliot wave theory
I understand. I have about half of that into this stock. Lots of people wish they did and want to see us fail. It's not going to happen though!
She's the one person I believe. I know her and she has been going to headquarters to express her concerns.
She's not Michelle. She's a shareholder who lives in the area.
https://twitter.com/umaluca/status/525614459369578496
The deal is done! Toxic debt terms vaporized. Details en route via PR. Here we go ladies and gentlemen. Hang on tight!!!
Lights out for shortys. Tonight we dine in hell!!!!!!!!
Got painted down last Thursday too.
Without Hanover they'd never have met their customer demand ... I vote for continued operations over avoiding debt financing. Definitely would love to see more favorable terms on their next growth spurt, however.
Calling for a 20-30% pop today, just because. Buckle up.
Average MMJ stock ran 900% last time from bottom to top. SPLI aka VPOR ran 10,000%. With a copper base rather than sub we are looking at some serious potential here. Current estimate is .08 to .50 by end of year. Can't get there by flipping for small change though.
You probably also pay for wolfs website and that makes me sick since he's scamming you all.
That's exactly what I mean. Looking for a six figure payday on this one.
Hemp has a pr every time their secretary farts. Hardly consider their material "news"
If you're talking about fundamentals at this point, you may need to rethink some things.
Taug announced elimination of toxic debt and MCIG announced big distribution... Stock price essentially treated those pieces of news as a non event. Unfortunately We only want PRs to be convinced to hold, might lose a long here or there without news but when there is news twice as many "longs" sell out because there's a small pop. Current MMJ influx will offer us 10 new buyers for every long we lose. We just need to hold right now. Sell in the teens. IMO
Yep! Looks like moonshine isn't as interested already. Need them to move on for us to have sustained gains.
Then sell and go away.
Roughly 61 million but I'm sure that's fluctuated a bit.
The negative price action has been shorting or dumping, yes. Not dilution because outstanding shares are unchanged. I believe some group is shorting and making Hanover the straw man. Recently yaniv said they were in talks with Hanover regarding renegotiation. If that's the case their short scheme would be ruined. There wouldn't be talks at all.
Nice day. MMJ market green overall as expected. Should keep it up through 11/4 then the real party starts! Note that MC|G dropped big news and nothing really happened... It's mainly big picture market forces at play right now. An 8k or PR won't really do much for us at this time, but they'll come. Maybe a small AM pop but as long as we are under the .034 mark flippers will continue to fall over themselves and keep price down. I do think some positive news on Hanover will bring a certain group or two back here in due time, however. Chart wise we cleared the 100 sma on the hourly today and it held as resistance. The next major resistance is .0192, which is the 200 sma on hourly. Could happen tomorrow. Psychologically we need to get over .02 and .03 will come easy... Hold that and .05-.06 are next. Then we move sideways/slightly upward to .08 and I've always said once we hit .10 the price might as well be .15. These are the major psychological barriers to me and probably others. Good job today, longs.
If you can't figure out why to hold, you shouldn't.
Pierced the 100 hour moving average already... Now let's destroy it!
Yes. And of course they plan to pay off over a million, because that's how a loan works. Doesn't mention when. These guys crack me up. Attention is attention though.
All estimates of course. Some of my metrics give it potential to hit .50
Yep. Boring old technical target is around .06 by end of next week. People say as a percentage that's impossible but we are talking about pennies here. The only problem with a target of .06 is there's no green rush factor. And not only do we have the green rush factor, we are a leader on the green rush board in terms of gains. Exposure is huge. If this is going to move like it did in spring then we could see a dime next week. My original thesis is 9-11 cents by end of next week. We are a bit behind right now but not out of it if momentum picks up. Let's see what happens!
Knowing that this stock ran 10,000% and the average MMJ play ran 900% last time, I'm not letting my shares go for under .15 - you can have your 30% flips.
Gathered the last few weeks that we know for a fact that nearly half of the float is owned at an average of .0315 - the real run starts when that price level is broken. Since the downtrend has lasted so long there will not be that much resistance above.
T@UG announced something like that the other day and the stock did nothing. Just sayin
Yep!!!
Thank you for creating liquidity. Good luck!