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This happened to me yesterday as well.
Thank you for the encouraging post. When I see that some of the "regulars" are holding 400K shares and more, it gives me better confidence holding my 55K shares. I have to keep my emotions in check after looking at the steady growth of this stock. The DD that I read on this board is absolutely stunning, encouraging, and dispells some of the negative emotions I have in regards to investing in pennies.
I chose my "verycareful" alias for obvious reasons and to encourage others to be that; very careful. What does that mean? I am aware that all of us desire to keep our personal capital in our pockets. Knowledge is the most critical aspect of any endeavor, including investing. I used the term "big fish" in describing others on this board as a compliment.
I used to "go it alone" in all endeavors, but I am now seeing that this endeavor requires encouragement from all directions. Thank you, Dave, for keeping a small investor like myself in mind. I would appreciate it if all of you keep a person like me in mind especially when red flags begin to appear (another reason for the alias 'verycareful').
Best to all!
Brian
I have been looking into the connection with Palmaz and it seems the DD done on this board is "speculatively solid". All said, the more I dig into the stake holders like yourself, the more I feel at ease. It helps to see 40% days every other day too. I just get very nervous when the MM's mess with stockholders' heads.
Jibber, I respect the DD that you and a few others have put into this stock. This is a first attempt to move from "dabbling" to "making a profit." I will never forget my grandfather telling me, "Get in with the big fish and out before the big fish and you will be fine." With that said, I just cannot afford to mess this one up. How can I be assurred that you and the others aren't playing little fish like me "like a fiddle?"
What software allows a trader to see the size of the bids and asks? I am becoming more convinced that someone is messing with the prices.
I was buying.
Example: I just put an order for .105 and NO bites. Ok, that makes sense because the ask is .13. I then up my bid to .13 and it sells for .115. Doesn't make any sense unless someone has a huge chunk sitting at .13. Is this the text book definition of an MM?
Someone big is controlling the price. I can tell you this is making me very nervous.
Finally, some movement forward! I love hanging out in cyberspace with smart people!
So, if you were to sell any of your 400K stack, what would tip you off? Secondly, what does your DD experience tell you in regards to a rough $ range for this stock?
Thank you for your confidence. This is so new to me; the teaching profession is not going to allow me to become independently wealthy. So, I have decided to move into stocks supported by articulate "chatters" like yourself.
Why do you think this stock is so worthy, Texas?
In your opinion, why were the swings (late last week) so volatile? Today, the bid/ask is very tight.
If I were to guess, those volatile swings were orchestrated to bring attention to the stock- mission accomplished. I think the tightness now represents strong confidence.
If you don't mind my asking you, do you have an exit strategy? If so, where?
I am only a very small investor, but have 20K shares on average of .105. FYI, I will not take profits until it hits $1. The DD on this provides enough evidence for me to easily place my sell at $1. Depending upon where we go in between now and then, I may decide to take out my original investment only and then ride the rest. I feel that confident in this position and this stock (with very little money to my name).
Ali and Lucy, I am new to this site and this kind of investing. I am looking at CWDW and LFBG and struggling which of the two (or both) to choose. I have already done my DD, but couldn't help but notice your reps on this site. Any thoughts would be considered additional DD. Thanks.
This stock got my attention. Please share a synopsis, target prediction, and of course, something to support your predictions. I am ready to put a sizeable chunk in.
Great post, Sterling. When I read the charts and then compare thoughts on this forum, it can become difficult to decide if this is truly a quality company. Some say this stock is going to .35 very quickly and others say .10. Your .034 seems to be a valid price for the stock TODAY. Of course, we all can see a possible "inflated" value just simply because of the PR and volume. GOIG is very interesting indeed!
I agree wholeheartedly. The real question is: What do you project to see this stock bounce upward to?
Lame.
I was just curious. I have done my DD and wondered what your DD might support your $5 claim.
Yes, what supports your $5 "IMO"?
And why $5?
"We will bank." How much?
What is NITE?
I am holding. However, I think this stock is static until production PR.
What would happen if I ask .0014?
For what?
Then the implication is that this stock is volatile and not really a long-term hold. Wouldn't that explain the volume over the past few days? It seems for every large block bought, another of equal size is sold.
Personally, and I will say it again, I like this company and its profile. The $1 million dollar grant is chump change. The real question is: Does this company own a "corner of the market." Now that is the something I would like us to debate.
Either reason: 1. Profits or 2. SCARED
Looks like a peak of $2 in Feb., 2007 and stayed above $1 for a few months. Could have been another company, but not sure. Source: www.scottrade.com
I noticed this stock had a $1+ history. Any chance, this happens again?
I am new to investing. How likely could this stock reach $.01-$1.00 levels? I like the product potential and the news. I bought in today and would like to wait this one out. Mature thoughts please...