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It is very good news that they withdrew their TARP application. One, it means that they will make it without gov't aid and two, they won't be beholden to the government and all their BS like telling CEOs how much they can make, etc.
To me ETFC is a no brainer at these levels and is my largest holding.
Is that you buying already this morning?
I plan to average down later this month also.
I think that I liked it better when we had only 500 shares traded.
At least it was green then.
Yeah, maybe the feed is down again.
$800 M in cash? Last time I checked they had $6.7B in cash or $6 a share. Bankrupt? HA!
I for one am not worried much about the shorts because when the housing rebounds they will have to cover.
Really all these homebuilders have to do is survive another 6-12 months and then everything will be back to normal.
ETFC has a lot of potential over the next 3 years.
$20 is not unreasonable in 3 years
$2.50 short term is not unreasonable either considering we had 3 upgrades in Sept. with price targets between $2.25-2.30.
It is just a matter of time
Looks like we are at a stalemate here.
Glad that financials were released but numbers were not as good as expected.
So continue holding for now
When PR hits the wire we might have a bounce
Mortgage companies up big today with tax credit anticipation.
http://www.marketwatch.com/story//shares-of-mortgage-life-insurers-jump-2009-10-29
Big buys coming in again here.
Accumulation before big news?
We shall see................
$691,062 net income for 9 months.
Wow!
How many pinkies can say that!
I hope that Dean issues a PR soon about the O/S increase, that he used the proceeds to pay off debt from the old shell, and that the acquisitions are still on track.
Calling this a scam is a bit premature and unwarranted in light of recent events. I believe that Dean will come through.
We shall see................
Dude, if you are getting your DD from Yahoo finance then you are clueless. Check the I-box here for the start of your DD on EVRM.
What non-website, they both come up.
http://www.sts-corporation.net/index.php?cID=77
http://www.evermediabiometrics.com/index.php?cID=57
seeclear, that is why I am in this one. Accumulation is going on and with the low float it is going to fly someday and I want to be in it when it does. Just a matter of time.....
High volume today after great PR.
Could run tomorrow..........stay tuned
Yes a standoff, reminds of me of the movie trading places when trading stopped until the crop report was announced, then kaboom, trading was fast and furious.
But this news IS spectacular, we should be at least .05 based on the contract because it confirms everything that we have been waiting for. Think about it, a real company with verifiable contracts, non-diluting to boot. This is a great long term hold
I like this part:
Nicholas Toms, Chief Executive Officer of DecisionPoint commented, "We are excited by the momentum our field mobility program is gaining. This project is one of over two dozen new field mobility contracts secured in the third quarter, representing an aggregate value of over $5 million in deployments scheduled over the next two to three quarters."
Real company. Check it out, try doing some DD.
http://www.nationalstorm.com/
3saints, that was dripping with sarcasm because you have always been a basher here.
Soxfan you just don't get it. NSMG is a seasonal play. We load up in the fall for the next season's rally. We have been right so far so chill with the attitude. You are the new guy here and you are being educated...........
Notice how we get up to .02 but do not go over?
I think that the buyback banks were instructed not to pay more than .02.
We have good volume today after the PR this morning but the price is not going up. Can't imagine anyone selling at these levels.
Whisper numbers are 98% to beat estimates of -.09!
I just read the 2Q financials and I see why they were delayed until now. The sales were down for the qtr and are only $860k YTD when JD told us he would do 6-7M this year. There is a small operating loss for both the 2nd qtr and YTD. Does anyone know what the $762k note payable is for and how he expects to pay it off this year? With all of this activity that we see on the webcam I would expect to have more than $105k in A/R.
On the positive side there is no long term debt and the losses have been very small for the year.
So in the 3rd qtr financials which should be out soon I would hope to see increased sales and for them to show an operating profit and improved guidance for 2010. Then I would feel better about my investment here.
Still long and strong for now.
Naked shorting or selling due to selloff on wall street today.
Not only a close at .025 but IMO a multi-day run.
With all of the forward looking events, PR explaining share structure and buyback, and acquisitions to close soon, we could have a monster.
QASP CEO Dean Bradley to purchase shares on the open market with his own money!
QASP dilution over as of Friday which is why it is starting to move back up. Buyback still in place also.....
We should see over .02 today.................
Maybe dilution is over...............
This moves up quickly on relatively low volume considering what the share structure is. That tells me that many of the shares are tightly held.
Can you imagine what a 50-100M volume day would do here.....
Well it sounds like you would do well if it hit .03 if you have multiple millions. Even with my 3M I would be very happy.
Let's hope that they have something brewing here........
Kevin, though I share your enthusiasm for EVRM I have 10 positions at the current time. I did sell 2 others this past week to get more here I still don't like to put all of my eggs in one basket. Hope the strategy works out for you.
It should move up next week based just on technicals even if we do not get news.
Masta, good find. Do they have any government contracts?
We are up 9.8% so far today and if we get confirmation on Monday with another up day then would you say that the bottom is in and the next run has started?
The important thing is that I think that the bottom is now in and we move up from here.
Just might close above .03.........
When the dilution ends we will move up and I believe that the day is fast approaching. The buyback will continue for a while and with a little retail buying pressure we will be over .02 before we know it.
Not worried one bit......
Why would someone slap the ask until they are about done building their position and drive the price up? If the MM's will let me buy at the bid I would be dumb not to do it. Now, having said that I finished loading up this morning by slapping the ask because I now want the pps to go up.