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I do not need my money back and I trust in the board. I do not know if the pps will go such high, but I'll keep them for long because it is a success story and I'm sure that stock is much undervalued. Keep an eye and drink a beer...
How can we explain the hype each EOD trading if not NNS that need to be covered ? Simple sells or new issued shares from the co should not be the reason of that movement to north.
Don't you think the co would be more willing to sell shares at higer pps ?
We might see a nice run at end like did 2 days ago. Stay tunned...
Lows are going to be dried and expect to see a good run on this soon.
Seems we touched the bottom here. Hope we'll get a nice up trend when people will realize how much that stock is undervalued. It's of course my opinion, but number released are so good that I'm pretty sure we'll be rewarded soon. GLTA
Or are you trying to make this lower to buy more...?
Nice volume this morning on upwards. It's like a small rally. We'll see what's going on by tomorrow.
Diluted EPS (ttm): 0.012
Qtrly Earnings Growth (yoy): 26676.50%
How the pps is so low when the last EPS is $0,012 and exceptional sales announcement.
Look at that then:
Market Cap (intraday)5: 20.01M
Enterprise Value (28-Jan-09)3: 23.39M
Trailing P/E (ttm, intraday): 1.43
Forward P/E (fye 31-May-10) 1: N/A
PEG Ratio (5 yr expected): N/A
Price/Sales (ttm): 0.86
Price/Book (mrq): 0.95
Enterprise Value/Revenue (ttm)3: 1.01
Enterprise Value/EBITDA (ttm)3: 4.475
FINANCIAL HIGHLIGHTS
Fiscal Year
Fiscal Year Ends: 31-May
Most Recent Quarter (mrq): 30-Nov-08
Profitability
Profit Margin (ttm): 20.03%
Operating Margin (ttm): 22.23%
Management Effectiveness
Return on Assets (ttm): 34.10%
Return on Equity (ttm): 52.57%
Income Statement
Revenue (ttm): 23.18M
Revenue Per Share (ttm): 0.058
Qtrly Revenue Growth (yoy): 4323.90%
Gross Profit (ttm): 3.55M
EBITDA (ttm): 5.23M
Net Income Avl to Common (ttm): 4.64M
Diluted EPS (ttm): 0.012
Qtrly Earnings Growth (yoy): 26676.50%
Balance Sheet
Total Cash (mrq): 17.02K
Total Cash Per Share (mrq): 0
Total Debt (mrq): 0
Total Debt/Equity (mrq): N/A
Current Ratio (mrq): 18.416
Book Value Per Share (mrq): 0.018
Cash Flow Statement
Operating Cash Flow (ttm): 102.80K
Levered Free Cash Flow (ttm): -12.80M
View Financials (provided by EDGAR Online):
Income Statement - Balance Sheet
Cash Flow
PrecisionIR Presents
Free Annual Report for SPNG.OB
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TRADING INFORMATION
Stock Price History
Beta: 1.32
52-Week Change3: N/A
S&P500 52-Week Change3: -37.92%
52-Week High (23-Jun-08)3: 0.06
52-Week Low (21-Jan-09)3: 0.01
50-Day Moving Average3: 0.0215
200-Day Moving Average3: 0.029
Share Statistics
Average Volume (3 month)3: 16,405,600
Average Volume (10 day)3: 26,494,400
Shares Outstanding5: 1.17B
Float: 636.92M
% Held by Insiders1: 38.65%
% Held by Institutions1: N/A
Shares Short 3: N/A
Short Ratio 3: N/A
Short % of Float 3: N/A
Shares Short (prior month)3: N/A
Dividends & Splits
Forward Annual Dividend Rate4: N/A
Forward Annual Dividend Yield4: N/A
Trailing Annual Dividend Rate3: N/A
Trailing Annual Dividend Yield3: NaN%
5 Year Average Dividend Yield4: N/A
Payout Ratio4: N/A
Dividend Date3: N/A
Ex-Dividend Date4: N/A
Last Split Factor (new per old)2: N/A
Last Split Date3: N/A
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See Key Statistics Help for definitions of terms used.
Abbreviation Guide: K = Thousands; M = Millions; B = Billions
mrq = Most Recent Quarter (as of 30-Nov-08)
ttm = Trailing Twelve Months (as of 30-Nov-08)
yoy = Year Over Year (as of 30-Nov-08)
lfy = Last Fiscal Year (as of 31-May-08)
fye = Fiscal Year Ending
1 = Data provided by Thomson; 2 = Data provided by EDGAR Online;
3 = Data derived from multiple sources or calculated by Yahoo! Finance;
4 = Data provided by Morningstar, Inc.;
5 = Shares outstanding is taken from the most recently filed quarterly or annual report
and Market Cap is calculated using shares outstanding.
I agree pps is so low if we compare with the $0,18 EPS...it's a ridiculous price AHAHAHAHHHHH
EPS $0,18 and PPS $0,31, something frustrating over here no?
That's also the reason why I'm happy. If it goes down i'll load more. I've small position here with 14000 sh. and last FR made me crazy when I saw the market value versus the co value. My dreams could meet this at $5.
Someone need money and play it at low. Might be a good time to load more now. I got some at $0,306 and I'm happy with that.
I don't care, it will fly like a rocket at EOD like previously dd. Be quite and drink a beer....
Good job. Do you know when Steve will meet that with UBSS ? and did you asked to get an answer back on that ?
Thanks
If we all think what you meant, why the pps didn't move up ?
NSsellers need to cover their sales position one day at the market price. It could be these forthcoming days. Isn't it ?
Why the market is so depressed when....?
Revenue for the six months ended November 30, 2008 was $18,593,108, an increase of 104% from revenue of $9,093,027 for the comparable period in 2007. Net income for the six months ended November 30, 2008 was $4,198,762, an increase of 204% from $1,381,675 for the comparable period in 2007. For the six months ended November 30, 2008, basic and diluted earnings per share were $0.08 compared to $0.03 for the comparable period in fiscal 2008, based on total issued and outstanding 53,422,971 shares of common stock.
Bin Wang, Chief Executive Officer of China Sun Group, said, "We are pleased to report that DLX has continued on an upward growth trend in the second fiscal quarter. While other manufacturers had been scaling down production last quarter, DLX showed continued strength and was able to fill new orders from its inventories on a 'just in time' basis."
"In the first half of fiscal 2009, our net profits grew 204%. Despite the great challenges faced by companies in a depressed economy, DLX has forged ahead and proven its ability to capitalize on new growth opportunities emerging in China and other developing nations. We believe DLX will continue to outperform its competitors in fiscal 2009," concluded Wang.
As far as I am concerned, my question is when will we see pps of this stock running at its real value ? All numbers including sales volumes, profitability, actual O/S and future announced lowered O/S should make this up. What we see here are people that do not read 10Q still confirming current PR's. GLTA
Ya but the O/S has been reduced very drastically and the PPS is still on steady phase...Why????
When would market makers stop NNS ? What would be a good reason to stop it ? To put air shares on the market in order to buy real shares back at lower pps is not allowed. If pps goes at higher prices they will need to cover the loss... That's my best goal right now.
Nice post indeed. I'll keep mine for long here and no sells until when the co will be valued at such highs. Thank you for your post.
GLTA
Nice move today on heavy volume basis ! Is that a rally starting ? Nobody knows but last numbers in the PR are very good and should lead us in green levels. GLTA
Good job. Far less Float than expected by me. It's like a strom in a glass of water.
''So, float is LESS THAN 195M''. If you're right this stock price is amazing. We are 4500 shareholders in the market for only 195M shares. Stock price might blast this morning.
$0,05 is also my target co value. I'll keep until it hit that goal. This co is a profitable co and shorts have been screwed these last days. I'm very happy of that.
Seems we are going to the true value of that co strait away.
just covering NSS. It will blast like a rocket..GLTY
You meant big big run ?
Nice sponge indeed..
Nothing else than panic of shareholders. Are you still keeping your shares when the PPS is falling like a rock ? The reverse in trending of today is due to the gap between the market value of that stock and the co value. That's my opinion and I can imagine how high PPS of that stock can go. Look at the chart. That stock is crazy. GLTY
I agree with that. This is still in limited information on pinksheet. We all know that from long. I'll wait until numbers will be audited then. It's still a deal in the pinksheet world...
On yahoo finance web:
Market Cap (intraday)5: 17.91M
Enterprise Value (21-Jan-09)3: 23.39M
Trailing P/E (ttm, intraday): 1.27
Forward P/E (fye 31-May-10) 1: N/A
PEG Ratio (5 yr expected): N/A
Price/Sales (ttm): 0.77
Price/Book (mrq): 0.85
Enterprise Value/Revenue (ttm)3: 1.01
Enterprise Value/EBITDA (ttm)3: 4.475
FINANCIAL HIGHLIGHTS
Fiscal Year
Fiscal Year Ends: 31-May
Most Recent Quarter (mrq): 30-Nov-08
Profitability
Profit Margin (ttm): 20.03%
Operating Margin (ttm): 22.23%
Management Effectiveness
Return on Assets (ttm): 34.10%
Return on Equity (ttm): 52.57%
Income Statement
Revenue (ttm): 23.18M
Revenue Per Share (ttm): 0.058
Qtrly Revenue Growth (yoy): 4323.90%
Gross Profit (ttm): 3.55M
EBITDA (ttm): 5.23M
Net Income Avl to Common (ttm): 4.64M
Diluted EPS (ttm): 0.012
Qtrly Earnings Growth (yoy): 26676.50%
Balance Sheet
Total Cash (mrq): 17.02K
Total Cash Per Share (mrq): 0
Total Debt (mrq): 0
Total Debt/Equity (mrq): N/A
Current Ratio (mrq): 18.416
Book Value Per Share (mrq): 0.018
Cash Flow Statement
Operating Cash Flow (ttm): 102.80K
Levered Free Cash Flow (ttm): -12.80M
View Financials (provided by EDGAR Online):
Income Statement - Balance Sheet
Cash Flow
PrecisionIR Presents
Free Annual Report for SPNG.OB
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TRADING INFORMATION
Stock Price History
Beta: 1.32
52-Week Change3: N/A
S&P500 52-Week Change3: -38.56%
52-Week High (23-Jun-08)3: 0.06
52-Week Low (20-Jan-09)3: 0.01
50-Day Moving Average3: 0.0226
200-Day Moving Average3: 0.0299
Share Statistics
Average Volume (3 month)3: 16,777,000
Average Volume (10 day)3: 24,867,500
Shares Outstanding5: 1.17B
Float: 837.61M
% Held by Insiders1: 45.82%
% Held by Institutions1: N/A
Shares Short 3: N/A
Short Ratio 3: N/A
Short % of Float 3: N/A
Shares Short (prior month)3: N/A
Dividends & Splits
Forward Annual Dividend Rate4: N/A
Forward Annual Dividend Yield4: N/A
Trailing Annual Dividend Rate3: N/A
Trailing Annual Dividend Yield3: NaN%
5 Year Average Dividend Yield4: N/A
Payout Ratio4: N/A
Dividend Date3: N/A
Ex-Dividend Date4: N/A
Last Split Factor (new per old)2: N/A
Last Split Date3: N/A
If that's not good enough sell your shares then. GLTY
Market Cap (intraday)5: 17.55M
Enterprise Value (21-Jan-09)3: 23.39M
Are you ready in starting blocks? The panic came from AS, while the buy back shares has been announced completed, even a new one came out. The co value has been reviewd to $24 millions while the market value is about $18 millions, the gap is about 30%. GLTA
Good numbers in the last PR where made on GAAP based US. That's the most important isn't it ?
They didn't used to reverse split...Look at the story
Seems the baseground is here...
I agree, I'll keep mine too.