Always chasing a short squeeze dont ya know. I am also on stocktwits @ Q42
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its set for a breakout. And I am here for the ride. It doesn't get any simpler than that.
yep the shakeout before the breakout imo. Go SMWF
yep the bid bigger than ever at .0001 now. 11 on bid. i think friday was the last day to fill partial order at .0001 from what i heard. .0002s are next if you wait too long you can pay for .0003 imo
There are not enough shares to hold us down plus they are being bought back daily so less everyday. I am up 100% and its climbing. Making huge $$$ here. Your missing another huge opportunity again for $$$. I am so glad I got .0001 while there were some left.
Weeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeee
that news on BAC today is terrible and yet its green. Boy oh boy is this gonna play catch up on the downside soon.
Lying, scandal etc. Next Enron BAC is says yoda.
I know we have some strong bidders at .0001 amazing how they suck up n e thing you throw at em.
moodys rated MBI at junk today. Saw if flash by on CNBC but couldn't find the news on the stock. It caused tankage tho in AH.
Amazing volume and bid held. I guess the weak hands ran out of the stock today. If that's the case the .0002s should be thin from here meaning .0002 sellers moved to sell at .0001 today and left the game. If/when this reverses to slapping the ask we will see.
Thats the strongest bid i have ever seen period..... amazing they are gathering shares like mad. There is def something brewing here and soon.
Your gonna be more surprised when we are trading at .0004+ late week then lmao
When is the name change done by?
LOL bidders at .08 evaporated on no volume. This company is selling shares like mad and no investors believe a word they say. Is .0001 and R/S next?
Oil broke down very bearish now.
its the best thing to signal a long term run on a stock
check the float 12 billion and alot of shorts covered recently
http://www.shortsqueeze.com/?symbol=evfl&submit=Short+Quote%99
check the fails to deliver here its the only thing left trying to hold us down. Soon it will balance and we push much higher
http://failstodeliver.com/default.aspx
here is a chart set of the most important indicators of the market. I couldn't fit TBT and TLT on their which are bonds. But keep an eye on how the short etfs are about to pop huge. Dollar weakness fueled this rally now UUP (US dollar) in falling wedge pattern(along with Vix VXX) and snp and dow in rising wedge pattern. Overall market reversal was on wed last week with the outside key reversal day. We have continued down since.
For some reason this candle stick view wont post so just enter on stockcharts.com candlstick view 6 months then accum/distrubution and put these symbols VXX, UUP, $INDU, SPY, OIH, USO, SRS, TZA, GS, AAPL
http://stockcharts.com/scripts/php/candleglance.php?VXX,UUP,$INDU,SPY,OIH,USO,SRS,TZA,gs,aapl|C|F
Its funny you say that with so much enthusiasm our economy sucks and we lose a small town of jobs every month. GLTU
Ok this is not an argument. Do what you want.
Play it how ever you want. I know bear markets are much longer than we just saw. Go look at snp weekly and see how 1080 we hit was just top of downtrend line. I see nothing but down coming with a few little rallies and will play it that way.
Remember we just had the biggest rally in history in the shortest amount of time in history. In turn we should see the sharpest and quickest pullback in history.
I got short its much easier.
avg bear market is 34 months we are 17 month into this off a huge rally now. The next 17 months should be all down.
Late september and Oct here are going to be brutal. Accumulation line on stocks is higher now than in 2007 before huge crash. Funds are all in and haven't sold a share. First man out wins the most from here. Last man out loses everything.
Great set of charts. You don't want to be in stocks when that VIX rsi 14 crosses above 50 next week or so. This is going to get ugly.
Our debt ratio to GDP is higher than Great Depression era already the market will find this out by December. Get short now save yourself some pain.
Iran, Bad housing number, Rimm Terrible selloff on small miss of earnings, 10% unemployment by friday, Gov't control all are catalysts for 20% correction or more from here. If you can't identify those catalysts then read more headlines lol.
We are going much lower from here 970snp first stop.
Promoters move stocks 300-10,000% thank God we have promotions. SPNG went from .006 to .28 on promotions go check it. We will get a huge bump off this major promotion. Just don't forget to sell.
Thats good impossible week. Treading water being long in ne thing is great. I am shorting every rally from here in any stock.
INDU rolling over. I am looking for 970 snp before any bounce link back for 60 min chart
yep and my friend bought 150 mil today.
I am up 15,000 on the week. I can do this every week weeeeeeeeee
Up 100% on the week on huge volume very nice week. Have a great weekend all.
Kewl has he ran that add on the VIEW yet for the cooler contest?
When part of it are shares being bought back never to be sold again. Its the biggest thing to happen to the stock ever.
Can you clarify? Your saying nobody can talk about SEAMless website and products contained therin? HUH????
I will let you know how it turns out. I have no worries. I buy these in baskets of two to three.
Strong bid no problem there. .0002s were getting murdered today.
I just played this six month ago and did fine. +300% and +10,000 We all know all stocks are promoted in one way or another and I really have no problem with that. Whether its cramer CNBC your broker telling you to buy etc.
I play a move and see potential here. These games goes back as far as i can remember and have successfully played it over 100 times on subs.
i am adding an additional 90 million tomorrow. I hope i can get then before .0002s fall
Nice buyback program. Looks like they got most of them at .0002 on the buyback. It must have kicked back in today.
We rock tomarrow first uptick on the way to .0004 breakout level.