Everything I write is my opinion so don't buy or sell based on my opinion
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No , sticky it on Tuesday by then it should dip further and I get in cheap
Clay says 0,0875 is the major support and clay tends to be right
My stop loss was hit today and I am out of shares . Sadly I will have to wait until mid next week for the funds to clear again and vuy the shares back .
45% gain is not too shabby imo profit is a profit . Now 0.0145 line is broken I will buy back at 0.011 if it gets there
I dumped my shares eod of day as I don't believe the CE is coming off this month . If it happens I will buy back
Selling dried up . When next surge of buying comes this will go back to 0.11
Wrong rsi only 64 on the daily lots of room to run , macd is positive . Cc turning positive towards100. Chart is looking good after consolidation .
Your charts are spot on , you said same around 0.06 and than it ran hard , you alerted around 0.08 again and it ran . Let's see those cc 100 come
Need that video from Florida ta he posted on Tuesday it caused 50% rise . Pictures speaks louder than words or a picture equals to a 1000 words
Board mark is going up rapidly I think there is a good chance we head toward 0.18 tommorow and 0.25 Friday . All in my opinion .
Worst thing I could do is let go of my shares because some poster played with my mind . And if this goes dollars o will never forgive my self. I bought owcp at 0.15 I sold with slight loss because some poster convinced me it was a scam . Two months later it was traiding near 4$ . I could have made a million had I held but instead walked out with a loss I then invested in another pinky stock where I lost most of it . Lesson learnt was if a unicorn comes don't get shaken by mind games . All my opinion and experience .
Ticker symbol change update on finra will cause this imo to run 0.25 just on abticaption of news imo . I am waiting for that .
You want to get out on the 11 th hour just when ticker symbol about to change and financials and news coming out in an exciting sector ? I am opposite I am adding for I believe that as soon as ticker symbol is out this may do 100% run just in anticipation to 0.25 level in my opinion .
Check post 64267 your answer is there
Your posting history shows you are negative about almost every single penny stock there is . You seem to see things glass half empty... every point you mentioned has been refuted and explained almost two months ago by dd experts on this board , either you ask help from them for explanation or simply just move along
Check level 2 , the MM's are ready now to take higher
Short with @,@@@,@@@
Dolv goes into 0.13s means we have good chance of 0.2s today
The Momo in 30days may take this to multi pennies . Easy money here . Today may see 0.004s. Imo
So you are saying this consolidates to 0.011 level before it can move up . What about the gap at 0.0105 ?
Floridany spoke to the billionaire himself MR Wang who confined to him That cars are involved and this is a holding company with many parts merging in . Check back on Floridany post it's all there . All in my opinion .
I have been selling all stocks on every Friday and buying back on Monday for last 5 years . Also it keeps the wife calm over the weekend lol , that the is source of the real stress . Looks like MM is ready to take her to 0.15 on the next leg up up
Around 3% shares lost but it's ok I slept fine though the weekend also I am up now . Looking for 0.15 next two days as I expect new ticker to show up.
Break 0.1 this goes 0.15 + in the next two days
I think this has churned enough in the 0,08s . If ticker symbol is shown by lunch time this may run and break 0.12 resistance line easily due to long consolidation in 0,08 most folks will want at least a double from 0.08 level so my guesstimate 0.18 to 0.2 possible this week imo
When GWAY merged I think the billionaire was also CEO , management and secretary . I don't recall different officers . It went from 0.01 to 12 dollars my friend became a millionaire within few days of merger ,selling all his shares around 3,5 to 4 $. All imo
Thank you for that info . I am coming back in tommorow , buying back sane shares I sold Friday . Name change by finra most likely imo will happen by 1 pm so will be getting my shares back before that .
Don't get me wrong but most are here because of the 340 mil asset potential that is why pps has not fallen back to 0.002 or higher . Disclaimer I hold around 1,5 mil shares average price 0.008s
Without the 330 million assists this has very little going forward .
If that is the case then this will fall back to 0.002s in the days and weeks to come .
To stay stress free over the long weekend .
Not possible I say 0.9 tops
I sold Friday as I don't keep shares over long weekend . I will be buying in Tuesday the same shares I sold Friday .
Bad day should have closed green . Not happy ! Where is the new ticker on finra list ?
0.8 makes more sense than 0.15 for billion dollar company imo
6 month is Long time . I will be back in 3 months time should be low volume as folks gets bored me pps becomes cheaper
Thanks for that info
Wow maybe the next batch of offering is 0.8 after 0.1! This is huge I am in shock and awe now
So what does your chart says about tommorow and next week. You have been spot on thus far .
Go dolv