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.04 would not surprise me today
Gappa tomorrow > flirt with .04 IMO
Bought a starter at .012
last minute surge begins in 3.2.1
.09 by close > guaranteed
.09 flashed > it will be back
Tripled my position > bottom is here
reloaded .07s > will see the .10 battle again later
last dip this low brought in some donkeys
dip n rip > cha ching .04s coming
Look at the numbers yourself Xylan. Quit being a conspiracy idiot.
For the years ended
December 31,
2016 2015
Statement of Operations Data:
Revenues $ 78,000 $ 74,108
Gross profit 19,805 20,244
Operating expenses 38,429 46,190
Loss from operations (18,624 ) (25,946 )
Total other expense (8,106 ) (25,934 )
Loss from continuing operations before benefit from income taxes (26,730 ) (51,880 )
Provision for (benefit from) income taxes 207 (1,345 )
Gain (loss) from discontinued operations, net of tax 465 (15,124 )
Net loss attributable to common stockholders (26,483 ) (65,762 )
Net loss per share, basic $ (0.63 ) $ (3.05 )
Net loss per share, diluted $ (0.63 ) $ (3.05 )
Basic weighted average shares outstanding 41,946,410 21,520,885
Diluted weighted average shares outstanding 41,946,410 21,520,885
This stock is worth .04 at minimum.
Using basic bath and round numbers:
Profit 20mil / Shares 500mil = .04
Profit 20mil + debt reduction 15mil / Shares 500mil = .07
Revenue 70mil / Shares 500mil = .14
Not sure which is the best for computing share value, but they're all well above .03
Hold your position. .04 is the true value of this stock, at minimum. 20 million in net profit / 500 mil shares = .04 This baby has been brewing for weeks.
I saw this baby go up 2 cents a day, 3 days in a row.
Expecting a few days of green +80% in total.
Can this sustain? I'm done trying to predict this piece of crap. Been holding 100k @ .048 > waiting for Q1 news at minimum.
I am so ready to sell at a monumental loss. This thing is done. Zed's dead baby
I cannot believe how much money i've lost
well.. i've lost over half of my investment now.
Last week many took a pounding. Looking for a rebound of pps and confidence.
Selling to Buying is 2:1 today. This thing is really responding to any buys. It seriously could fly up 20% in no time. If it does, I'm still red af
there's a portal open next to my desk. must be the reaction to the gap closing.
I really want to enter an order at .0285, but I'm afraid of throwing more money at this thing. I'll just sit back watch today. Last fill was at .0325
dip n rip. i think so..
dip, close that pesky gap. rip a bit.. shake off a few more 02s that are scared and close around .038. or drop another 7% today hahahaha
Simple calculations for current share value based on earnings ... all divided by 500m shares.
Net profit 2016: 20m = .04
Net profit plus debt reduction (45): = .09
Revenue 80 = .16
Simple, straight-forward, something to consider
Nobody like hindsight is 20/20 or i told you so guy. not 1 person. you seem to be okay with positive or negative attention. grow up
Be patient = my position is still green and I should have sold at .07
Frustrated = bought in above .05 and has been hemorrhaging ever since
Did DD, buy man do i feel like a sucker right now
we are green and volume is super low. only 10 mil today?
slap that ask. NITE has a monster bid
let me guess > dropping 7% today. hoping for a similar rebound to USRM in the near term. in heavy @ .048
power hour *fart noise
Slap that ask! yeah baby
two giant dips today were countered by 700 and 600k buys. there are certainly still eyes on this decaying cat.
Lots of pressure on the L2 bid that is going to bring this down a little more. I believe the lowest we can fill today is at .0325 > might touch .0315 briefly. MARK MY WORDS! actually don't haha. but this is what i'm seeing.
I'm at .048 > we're in the same boat. I went from a short term investor to intermediate haha ... I bought more at .0325 yesterday to lower my average. I'm going to put an order out for .031 for today... thinking it will fill in the last 10 min. I'd try lowering your average on this one.
I really hope patience pays off. I've read and read about this company, which gives me hope that things will go green one day. I don't think expecting a 300% surge in a week is rational. This thing is really losing steam. Even if we good news right now, the best we could expect is .045. I am down and would really like to get my money back and get out of this stock.
L2 sized quantities are very low. This thing could go up quickly with some buying
Would .029 cause more buying or selling?
Buying to Selling ratio is 3:1 > means we're at bottom?