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What I was saying, the last time that it popped, the stock was at .0028-.0032. Then there was the pull back which has led to this pop. My point was that had news come at the .0028-.0032 time, the stock would have had to work to get to penny, IMO.
Now, if the stock keeps moving as it has today into the news, and the news is good, the higher pps and momentum would carry the pps above a penny, IMO.
Without losing my head.....
.01 was possibility with .003 as the launch price. Now, we need to see where this is when the news comes and volume grows, but multiple pennies is now more likely.....
Sorry - Etrade and others state 3M....they are another source, whether right or wrong..
Two different issues.
Everyone, I think, agrees that the A/S is not impacted by the RS. That is typical process. We would like to see then retire some shares, but that is a different matter.
The question is the O/S. They stated in the Q3 2013 report that there were 300M shares being held in escrow to payoff someone. Once paid off they were going to retire those shares, again stated in the Q3 report.
We need to understand if the shares are retired, and, if so, does that make the O/S @ 103M or 3M shares, depending on what you think the O/S is.
Wolf, sheep pigg, cow, I don't care...good news and it will fly regardless....
that being said, anyone with deep pockets to help drive and sustain pps growth is appreciated.
No volume....
Definitely no volume below 19. Otherwise everyone holding which bodes well for a nice gap up with news...possibly gap to 30, although 28 then to 32 and then blue skies is more likely. Either way....nice to see people waiting on news and not letting vultures and their kind drive the pps down....
Today's action will only make those on the sideline even more confident to jump in on news, wherever they can, because the floor is not going to fall out from under them.....
Wow....huge volume followed by NO volume....
Look, anyone's speculation is valid at this point as to the SS, business plan, finances, etc. because the company has not clarified any of it.
Yesterday's volume is very confusing and concerning to me because it does raise questions regarding the real float....
Who sold all those shares? Was it an MM game passing shares back and forth to create fear and shake shares from us? Was it a share dump by insiders?
All I know is that they need to answer questions. They need to give us an update. The release of the FY 2013 report needs to have real meat on it. It also needs to be accompanied by several PRs that get eyes on the stock and help create MOMO.
Company is still in a great sector, not as sexy as the MMJ sector, bt no less hot and valid with growth potential.
Unfortunately no one knows anything.
I heard that NVOB management was planning on clearing up all of the confusion....but the days keeping slipping and no info....
Ok. No f***ing idea what is happening. How does 800k+ shares get traded with no movement? What is the float????
there is definitely news coming soon.....
look a drop is always possible, but, if .0013 happens, we are talking about 1-2M shares...no volume. there were no shares at that level BEFORE the pop up to .0032...don't see how there is volume at that level now.
Love the low volume. As long as volume holds a this level, then we are good going into news. Make .0025-.0030 to be the "real" base which only proves further to me that the trading shares is low. Remember that there were only approximately 150-200 million shares traded in the .0025-.0032 range. If the trading shares were 1.9B no way we should be holding at these levels.
I see, with the right/expected news, there is no way this is not closer to .006-.007 range. I think this stock, with solid MMJ news, will blow past .005.
Cheap shares coming. I estimate about 100 million shares available between .0013- .0024. Most shares above .0018 but watch someone or MM try to walk the stock back. Good luck to all to get them.
Because I need more shares....
too much frenzy shopping at .003s, then no news....
Would be much lower if the company wasn't showing signs of life....near term PR
nice...I missed that...thank you.
where are you gettng that paperwork is going to be filed today?
No.
The company is not going to go forward as CWIR...that name makes no sense for a MMJ company.
Expect a re-name, new website, at least.
With the re-name, there is a potential for them to also retire shares, which I think they will do, at least at the A/S...10B is WAY TOO high....
i know...but thanks...
I started with $1,000 a few weeks and have already played this to more than 800% gains. No rush on my part....
Looks like no news until end of month...
No...they are in transformation stage. Go to OTCMarkets and read company info..It will tell you that the company is in process to getting into the business.
How can we get Sanjay Gupta to mention CWIR in his discussion about the beneifts of weed?!
Take it sub-penny!!!! I would love to continue averaging down!!!!
Prove it is a scam.... Bad stock does not mean scam
I did not originate it. It came from bb? Anyway he has supporters.
If true, if not true. The fact is that some things have been happening behind the scenes and they did pr a month or so ago that they planned to be operational mid-April.
To do that they need a name change, etc. so whether or not the email is true the points in the email make sense and, at some level or another, need to be done soon to be ready for mid-April.
According the email from CEO that has been posted, we should see that the company moves to Delaware, and changes name...that is the news/changes we are looking for...
PER THE EMAIL FROM BB:
I can state that Central will commence its formal restructuring and repositioning on 11 March; whereby, among other things it will be redomesticated from Utah to Delaware, changing its name, and applying for qualification to transact business as a foreign corporation in Colorado, California, and Washington. In addition, the announcement will reveal the names and business histories of its newly elected directors, beyond those of whom that we listed on the company information tab at OTC Markets, which was updated yesterday.
Concurrently with the reorganization, Central, then under its new name, will file certain reports with OTC Markets Group, Inc. in order to remove the restrictive legend on the company (i.e., the stop sign). We expect this process to take between two to four weeks, and will be subject to approval by FINRA and OTC.
If no news by Friday you should be able to get filled. Just don't expect a lot shares.
The problem is:
1) The news has been claiming new sales in the thousands, not millions of dollars.
2) 5B Authorized Shares
3) Unclear Outstanding Shares Amount
#2 and 3 get cleared away and this will pop....with YE 2013 revenues which we can project forward for 2014.
Unfortunately, he has done this before:
Capital Change=shs decreased by 1 for 200 split Pay date=11/06/2008.
Capital Change=shs decreased by 1 for 200 split. Ex-date=02/28/2014.
The RS in 2008 did not make anyone money...as far as I recall....
News = .005 (high volume)
No News = .0018-.0022 (low volume)
I called anyone stupid? Not sure where u got that from....
But- no news and we r back into teens.....
When this runs...and it will run...the truth is the ducks they have lined up will protect/prevent the backslide, just as long as they say the right things in the financials....
A good PR with the financials wouldn't hurt either....
Everyone needs to relax and see what happens.....
I am only posting what I see happening.
Look - I have nothing against BB and it could be entirely true.
I am only saying that the PRESUMPTION of a PR is based on one person's post that has not been validated, to my knowledge, by anyone else.
BB could be the most upstanding person in the world...I don't know BB....but it appears to me that most of Friday's rally was based upon his/her post and no one else has come up and said that they too received a similar email from the CEO....
So now, you have a lot of new investors banking their money on the promise of news based on a post from BB.....
That is the curse of Friday - Monday rallies, IMO.
over the weekend the board was pretty quiet.
Also, everyone is basing the coming of news on an unsubstantiated post claiming to have received an email from the CEO....
.0013 was base prior to Friday
.0030 was too high without a multiple day rally.
.0022-.0025 is realistic base for next level.
My hope is that the YE will explain the share structure and 2014 game plan...
and Q1 in April will roadmap 2014 revenues....at least an idea.
Then we will be able to evaluate pps....
Financials will come out in the next few weeks, then we will KNOW what we have here....hopefully they will prove us right for waiting.
regarding the newest document on sunbiz....I live in Florida and have my own company and file a similar form to renew. That is all that is needed to file for 2014 as an active company. It is nothing of interest, IMO, aside from the addresses.....