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Please explain,
Try to avoid further belly-aching about the events of earlier this week. Thanks!
It seems like you are biased against logic. EOM
So your only argument is with semantics then. EOM
Whats up with these little bursts of 5k trades at ask? Is that having any effect on the amount of MMs at ask?
From that front, there is little doubt that you are correct.
I haven't gone to a million boards, or even on this one, saying BUY BUY BUY!! I just feel that there will be a bounce. Logic and history of almost all pinkie/otcbb stocks show that there will inevitably be a bounce. A bounce from this level will net you over 30% if you buy at .0003 and sell at .0004.
This is why I am trying to buy at .0002 like I am. I already have some .0003s and .0004s.
It's the "repeat" part that I'm currently concerned with!
bouncy bouncy bouncy!! EOM
11 at 2??? Jeez...no wonder I can't get my block filled.
I have no access to L2...what does it look like?
Yesterday I bought at ask and it was like spraying a watergun at a forest fire.
I agree with your agree. I have 4 million and have a buy in for 5 million more at .0002 since yesterday morning.
Board marks creeping up again today: 202 (+3)
Anybody have a picture of what L2 looks like right now?
Sounds like you think something's gonna happen.
Anybody know what L2 looks like right now? EOM
My estimate is slightly optimistic...but I'm looking at stocks like BUGS...and that makes my estimate seem low.
Again, it was not an oversight for me to have put no limit sell at .002.
My current thinking is 0.0075-0.008 if we get a sign of life from the company...or even if a more prominent stock promoter gets a hold of this. The only thing that would stop a run at this point would be BAD news....a reverse split or some sort of development like that.
Great job by everybody here keeping CEO E-mails off the public forum!
It's what you call "starving the beast".
I don't think that there will be much more opportunity to load up below .001 anymroe.
This filing RUMOR (which is all that it really is at this point) is becoming a trading situation where the rally is built on the idea of a filing coming. The filing might act a climax to any rally.
I think we go up regardless of a filing tomorrow.
Have at it! I believe this will be a fairly easy double from here.
We have a fantastic bid whacker amongst us! EOM
I sold off about 2.6 million shares today (all at ask) evenly between .001 to .0011.
These are the shares that I bought while supporting the bid at .0008.
My remaining 25 million is for the run past half a cent.
Sweet!
I think this is the beginning of an orchestrated promotion blitz from multiple fronts!
Nice find. Half a penny, here we come!
It hasn't been this active since the days of Quinnradio and that chick that used to say "yummy" all the time.
Why Wednesday??? That to me sounds like another wild shot in the dark guess to me. There is still little to no reason to believe that we will see any filings...IMO
No, because they would have already taken a couple of my TDAmeritrade checks.
Interesting to note, all shares sold since the 105MM share day have been retail. Only dillutive day was that Thursday. I feel that this furthers my theory about it being a stock promoter getting his...before the run.
Lock n load. I did.
27.6 million strong.
Patience anyone?
I know the guy was a giant toolbag for posting the CEO's E-mail despite the many requests by the members and even MODs here to not do so, but I do feel his assessment is going to ultimately be accurate.
Anybody wanna sell me a couple million? EOM
I know all that. Thanks though. EOM
Another day without a filing. GREAT!
I'm already discounting a maxed O/S when I say that I'm looking for 0.0075/share. There are many many OTC stocks out there with similar...or worse share structures that move fairly easily beyond that point.
My only concern for the next several weeks is whether or not we get the bang for our buck during the dillution process.
On topic maybe, but about as useful as a tornado in a trailerpark. You're being a toolbag.... so that leaves me to wonder why, exactly?
We need to be methodical and rational with how we conduct business here during the next couple weeks. In order to maximize this run, we have to stick as much together as possible. Obviously we have independent trading styles and we shouldn't group plan our sales or anything like that, but we shouldn't blunt the progress of the stock by uneccessary ridiculous pumping or the posting of personal E-mails from the CEO. THAT HASN'T DONE ANYTHING FOR US IN THE PAST so there is no need to continue that failed method.
That's actually EXACTLY what his job is here. Rick Shykora has used a few posters here over the past year to disseminate information FOR FREE that he would otherwise be forced to release in a more formal manner. This has allowed him to sucker in just enough people to sell his dillutive shares to. We are trying to cut off this improper use of information flow and make him do his job with REAL press releases and REAL SEC filings.
No more free lunch for this guy!
I think a stock promoter got in....
My SPECULATION is that Rick put 50 million shares or whatever up for sale and the promoter bought up the shares on the low...
If my theory is correct, we will win big IMO.
Also, on Thursday, we lost alot of the impatient cranks that have understandably been accumulating over the last half year. They were more than happy just to get out at the first sign of life. Notice the drop in retail shares bought when looking at the iBox chart.
I still think we are on track, just wanted to have the subject of dillution bounced off of a few heads here.
I agree with everything you just said, except for the basehit part.
If this is executed anything north of quarter-ass, then we should get to .0075 without much effort. I'm not willing to settle for a basehit with all the time and mental computation I've put into this. That's why I didn't put in a limit sell at .002 months ago.
I'm hoping that he had to pay for promotion for the stock by one of these stockegg.com or lebed.biz sites. Not enough for a vacation home! LOL! Most he could have got was about 85k from the proceeds of what was dumped.
I didn't see the updated ibox number until last night.
Also, alot of times stocks like these act counterintuitive to any change in O/S in the short to medium term. Cases in point: CBYI, FFGO, GSPG.
Anybody else besides me concerned about the ridiculous amount of dillution on Thursday? 51 million shares at once? I hope this was for a pretty good reason. It certainly made me squirm to see that.
I was filled for almost 2 million at .0008. My holdings are now approaching 27 million.