Register for free to join our community of investors and share your ideas. You will also get access to streaming quotes, interactive charts, trades, portfolio, live options flow and more tools.
Register for free to join our community of investors and share your ideas. You will also get access to streaming quotes, interactive charts, trades, portfolio, live options flow and more tools.
Think i'll go back on vacation/drunk...thought last sell-off was it for a while...looks like non-stop til nasdaq 1500,now..
AVSR-Bounce play,look at chart,enough cash to keep doors open($21MM)in@1.06
Patsy:DRTK does look interesting;might start buying tomorrow.Just coming off a five-week DRUNK/VACATION...maybe a little rusty(LOL)...
NWKC(.30):chart looks great for a recovery...drifted down & appears to be basing...end of dec. they had $50MM CASH-so they still have a chance to turn things around;they estimate by the end of this year they will still have $10MM CASH....anybody catch LANZ friday in the mid-.30's??today it hit .68 on the bid--told you i had started buying @.56 and was hoping it would go down so i could buy more...
Patsy,know what u are talking about being addicted to trading--"The Thrill of VICTORY / The Agony of DEFEAT"...
LANZ(.56)looks like a bounce play candidate,especially if it goes back to base arond .40 after run-up to 1.50 just a few days ago...went ahead and made a small buy...
TVIA(2.34):watching for a bounce play,good Quarterly results but not as good as expected / LPS only -.06 vs -.23 / lots of cash / 22MM total shrs.
I got equal dollar amount in rmoo,so as of now i'm not hurting with the loss i took in skgv--still think insiders dumped regardless of what carol says
CLIC:made a small buy @ 1.09 for a bounce play;still would like it better in .80's
CLIC(1.03/1.06):watching/waiting to see if it sells off more tomorrow..announced Q3 LPS -.52($18MM)lots of assets&cash but big losses&laying off 23% of workforce will cause a $3MM charge on Q4...total shrs. 35MM
VALH:looks like earnings move has started w/extremely hi volume tues..10K due feb. 1st...might hold til after earnings released,i'm sure revenues should be huge w/cutler acquisition last fall...missed buying more thru E*TRADE @.088(bid .08/ask.09)& i'm sure there were sales@.0875...try to buy more this morning...i'm thinking a minimum of .15 on the run...it already has ran once after rate cut,may suffer a little from burn-out
NTRG(2.06)3 day sell-off after resignations(they were seen as ineffectual)total shrs. 25MM,cash 43MM,total assets 97MM,total liabilities 19MM,rev. 3.8MM(last 10Q)
good to see U back in action,patsy!!mrch is looking good;rmoo:looks like sell-off over;RITA(4.09)at a double bottom for a bounce play--rita medical systems,no news to acc-t for sell off
New Investor: U R looking for "mommy" to hold your hand...
re:patsy on valh;total shrs. remained the same from 10Q june to 10Q sept.(157MM)maybe they can make it now without issuing more shrs. except for acquisitions---still only expecting run-up to about .18
CGPN(.095)news due before end of jan.(per dec.PR)on alliances,distributers&marketing firms for e-snitch a device that locates stolen computers by Global Position Satellite&can erase hard drive to keep info from thieves(according to company claims)...has just dropped from recent run-up(.08 to .18)which may cause the stock to suffer from burn-out,temporarily...dec. PR says trade show a success&they sold-out all units fast(1000)...still not convinced that it is not just a scam-but in anyway,chart shows it runs great on news...total shrs. 34MM;not much assets,liabilities or revenue
VALH(.085/.09)little sell-off,10K expected first of feb.;large revenues w/profit expected
IBUI(.099/.10)looks good for earnings play,10Q due mid-feb...221MM shrs. outstanding but recent PR(dec) they plan 10MM shr. buy-back(jan.) & got a loan approved for it...expects 100MM revenues for 2001(not counting on it)...10Q nov.:total assets 7.4MM;total liabilities 3.2MM;revenues 6.8MM;loss per shr.-nil($861K)
AMJY does look good,BB.got in for an earnings play mid-feb:::(10Q-nov)total shrs. 110MM,total assets 12MM,current liabilities 2MM,current assets 10.8MM,revenue 2.3MM,net income 51K...maybe they have sold down inventory for cash instead of dumping more shrs. for next to nothing...
Patsy:if u get chance post opinion(good or bad)before market open--already way above what i usually bet on a bounce play&thinking about going more...STRX
STRX:any of U guys check this out today--huge sell-off after World Access cancels acquisition plans.STRX made changes in management plans to sell-off unprofitable units to return to profitability.(10Q Nov.)total shares 58MM,total assets 723MM,total liabilities 483MM,Cash 12MM,Revenue 236MM (9months rev. 733MM),LPS -.28 (9months LPS -.59)...load truck today,plan to load boat tomarrow!!! from .50 to .125 in one day on a huge telecomm co. looks like a golden oppertunity--but then i thought that @.45 too...
STRX:huge sell-off after acquisition cancelled .141 inbetween bid--just bought yesterday for .45-HA!!;huge company w/assets 807MM,total liabilities 529MM,total shares 58MM,Rev 236MM,LPS -.28
SALN hit 1.12 today from .37,;AMSI hit .37 today from .093,;SAMC 1.84 from $1;DTEC $3 from $2--I didn't even get half the money,market got me spooked...tried to get in STRX@.42,will try again tomarrow anywhere in the .40's...
BWEB:watching mon. for continued sell-off(from $6 to $2 5/8)closed at it's low for the day-so sell-off may not be over...expects Q4 LPS -.13 on Rev. of $7.2MM...concensus est. were for a break-even Q4...total shrs. 38MM
what is esyg about a 20 bagger at current levels?
DTEC:in@2 bid,down from 4.75
RSNT:not much in the way of revenues&huge 9month loss(-3.83);RMHT wished i had jumped on when it was under $3 just taking one time charge,est.loss per shr of -.37 but last 10K had EPS .34,Revenue 132MM,total shrs. only 8.4MM
VITR:went ahead and made a buy@3.75,looking at chart this stock bounces good on dives.lots of cash&assets
VITR&RSNT being slaughtered...still just watching--maybe tomarrow
STRX still not on,maybe at lunch,could have been on @.4375 wed. at close,may go ahead and pay .54 today,could go to .70's tomarrow
STRX:bounce possibilities(.40/.43)especially if it goes into the .30's tomarrow...tried to get on just above the bid last 10minutes of trading...it just has recently bounced from .50 back up to $1,but still think it has potential especially in low .40's or the .30's
BOUNCE PLAY:TMWD $3 down from $19 2days ago
BOUNCE PLAY:TMWD under $3 down from $19 2days ago
NSPK:watching/waiting for another sell-off for a bounce play...did nothing today but tread water...AMSI stayed at .218/.25 most of day and only 2days ago MM's were selling at bid .093 with nice volume,wished i had loaded-up.
NSPK:suppose u guys already watching/invested in this one; might should have made a buy late fri @1.50 but the fear that is in the market now days--figured i would wait&hope for another sell-off down to around $1 then jump all over it...
AMSI:MM's were selling at bid(.093)two hours later sold at bid(.156),forgot to mention my first buy was at bid(.156);will be watching mon. if it dips back to(.093);SALN seems to be starting a bounce...
Bounce Play-SALN:(.375/.4375)in@.40;small volume,total shrs. 13.9MM,last Q:Rev 2.1MM,total assets 20MM,Cash 9.3MM,total liabilities 3.7MM, LPS(-.27)several day sell-off
Bounce play possibilities:AMSI(.15/.18)got in@.15 only hoping for .21,but chart looks good for a bounce here...good volume today 500K w/only 7.4MM total shrs.,last Quarter:rev. 1.5MM,LPS(-.19),Cash 2.1MM,Total assets 5.6MM,total liabilities 3.2MM...is in the process of restructuring the business...dipped down today several times to .125...been dropping for several days now from around .50
Bounce play:SAMC(Samsonite)$1 check chart should bottom here & bounce;not much volume,may take a few days...watched comm patsy,nice call,toobad i just watched!!
neta:hoping for another sell-off tomarrow,passed on it today,instead playing prav&exln--watching ccur