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Thats why china is holding off from buying the debt,plus China is starting to have problems of their own.
The real damage from the housing collapse in China has started to show up in the Hang Seng with inflation edging higher yet again in china for the fourth straight year.
STMP a little known online postal system has beat estimates again for the fourth straight Q. Yesterday STMP held on and went green for a minute before the huge selloff on the markets yesterday. Looking for a 45-60 dollar PPS by EOY.
Taco Hell.
According to Barrons, last week a major demonstration in Beijings fifth ring was due to people buying apartments at (USD)45,000 and three weeks later before moving in, those same apartments are now selling at(USD)17,000.
Hang Seng posted its first loss in six sessions yesterday with construction and real estate taking major hits.
China is balking at Europes bailout plan due to European leaders not reining in debt from Italy, Spain, Portugal, and Ireland. Now Sweden is starting to show signs of weakening. I believe IMO that china is holding back from buying the EU bonds until the bond market voluntarily sells at a 50% discount.
I petted a chihuahua once.
Asian markets getting hit again (could be in part to china housing bubble collapse). EU futures down with the DAX futures down almost 3%. Could be another bear day.
LOL. Agree.
On Friday BIDU posted an evening star formation. It filled the gap today but another gap exists between 131-133.
GMCR and FSLR on RADAR for major pull backs.
BIDU broke the 140 barrier. Look for another put day tommorrow.
Futurec down on the DOW over .94%
Agree. I use them as rumor mill to verify chart positions.
Well the SEC has got the complaint now since you made it public knowledge that to expect at least 50K from 1K invested on your Nov 17th play.
I do not PM anyone unless they PM me so you need to fact check your pm messages before posting nonsense.
Already contacted the SEC about his 1 grand to 50 grand minimum post in their I-Box.
Stock scam of the month planned for Nov 17th. Here is the exerpt taken from hillbilly stocks:
This play will be a low float subbie that is currently under $.008. The short interest in this stock is craaaaaaaazy high and when mama and her cuzzzins come to town, this golden biscuit can go as high as $.50!!! Thats a 5000% GAINER!! Mama suggest you put in at least $1000 to pull out at least $50 G's from this bad boy.
They are telling you to put a grand in on this play and you are guaranteed 50 grand in return. This exerpt was sent to the SEC on saturday.
European futures down. U.S futures down. Could be a nice put day.
Here is some light reading on Germany finding the donald trump lotto.
http://news.yahoo.com/germany-finds-55-billion-euro-accountancy-error-115520340.html
Calling BIDU puts for next week.
BIDU chart showing the 50 Dma has just crossed under the 200Dma.
Nov 4th puts looking great for next week.
MF Global trying to sell assets over the weekend.
APKT Nov 19th 42.50 call up 200% with APKT about to crack the 37 dollar mark and hold.
Well lets see what you are not really saying. The last 10Q was for APR 2011 and it is the 2Q unless FOFU flashes to the future.
Now with over 600K in accrued officer pay as of Apr 2011 as stated from their last 10Q, please tell me where this phantom 3Q you speak of and over 500k just disappears?
1. Nilbid retracted that their fee was paid to another entity by mistake. He is the moderator contact him and he will tell you.
2. Learn to read a 10Q.
At April 30, 2011, we had $48,647 in cash and cash equivalents and our current liabilities consisted of $230,550 in accounts payable and accrued expenses, $369,566 in notes payable and convertible notes, and $617,053 in accrued officer salaries.
For the nine months ended April 30, 2011, net cash used in operating activities was $187,195, inclusive of a $1,476,893 net loss for the nine months ended April 30, 2011. Additional significant factors effecting cash flows from operations were depreciation charges of $14,817, common stock issuances for services totaling $568,182, a loss on settlement of debt in the amount of $271,882, amortization of debt discount totaling $65,198, a change in inventory of $52,291, an increase in accrued officer salaries in the amount of $306,223, and a change in accounts payable and accrued expenses amounting to $6,292.
Yes watching FOFU die.
FOFU is dead. Watch it go sub-penny.
Can't pay $250.00. WOW
Zero revenue, Defaulted on their entity by only $250.00 dollars since July, And each officer (three of them) pay themselves over 100K a month. So I ask What Oil?
Not on this one.
Agree. The bond market will be looking at another set of problems after the full scope of the EU meeting is digested.
Here is where 200K came from.
StockGoodies, LLC / G6 Stocks, LLC has been compensated 200,000 free standing shares of common stock for a one day awareness campaign budget to profile FOFU by a third party (Please note we will be free to sell these shares at anytime and may or may not be selling during our awareness campaign
MM manipulation? Shorting? no and No. Awareness gone bye bye.
FSLR nov 4th 52.50 call smoking again. FSLR looking to hit 60 short term.
Funny since that is 2Q and not 3Q. Now you have a source. Please share with the group.
care less. Zero revs no money and the officers pay themselves 100K per month and they are over 6M in debt. Wow.
Force energy is not force fuels. Nilbud retracting his false statement last night. Two, they are behind on their 3Q since they were due by oct 15th unless you put in an extension and they did not or it would be on the SEC website.
FOFU zero revs, default on Nevada entity, and no 3Q. looking to go sub penny soon.
That funny since they owe $250.00 to nevada entity to become current and cannot pay that.
Awareness over. Stock go bye bye.
market trading flat so far.