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we will keep picking out the 17s and see what happens. prob is we all dont have the cash probably to beat on the MM's to get anywhere.
didnt know you were dumping a few today. I dont have the level 2 quotes so wasnt for sure so figured dump $170 to see if if anything gets moving. Really need to do 2-3M to do anything really at all and even doubt that will do much. So stalled out it is nuts.
i will pick up 100K just to see if it moves any at all.
agreed. I have been moving some other positions over little by little trying to pick up bits and pieces over the last two weeks. want to get as close to 10M before the bubble as possible. Got a decent bounce on bbepq
and ewll last month so got out of them and now hoping for this one as i have been loading up.
Patiently Waiting....... soon i hope we all get what we loyalists have been thinking all along. I think we will. Just keep on keeping on.
one day i hope i can say WHOLLY BATSHIT BATMAN you were right.
Wonderful place. I had the opportunity to spend a month over there in your area as my brother was stationed in Baumholder. Went allover the south and Skiied in Kaprun. Amazing time. I want to go back !
out of curiosity, Where is everyone from. I am in Denver Metro.
If any of you are in south texas or have family there our prayers are with you all.
true cant wait for news!
Will we break into the 2's today. thoughts. I think we will test it and fall and close at 18 waiting for a good run mid month.
yaaaaaaaaaahhhhhnnnn suspense is just killing me haha.
Good Morning Ladies and Gents. Get on board this train is going to leave the station here this year yet. Went ahead and loaded up my last 2M in smaller chunks at a time today at this level and holding. Will not dump the Flip shares for less than a penny.
i am hoping my 1M flip to sell in Sept for .0027. I dont think we will see .003 by end of Sept. I have been wrong before however and sold early. lol
i think i got bored watching this thing hold its gains as that is something new that never happens this long. little fall back and a hold. HMMMMM different pattern than last few years indeed. I was in presplit and lost over $35,000 on this POS but have been able to regain all losses in the last year playing the bounces. Back into the green and now thinking long term and play the flips as they come as well. Free Shares for the long term play is a nice feeling finally.
against my better judgement for waiting for .0001 i am back in with the flip shares for 1m holding out for lower to get another 2m.
Looks like a dump day. Noone wants to hold this going into friday or someone has leaked some sort of news. Glad i dumped all my short term positions as well.
but paying off debts with other loans isnt paying off debt. Only way to pay off debt is by selling goods and getting contracts. We dont see any of those YET. Yet being key word as i am a bag holder i admit but also a realist that if we dont get contracts we are left holding tax deductions only.
i agree. the only military uses are the portable ones that can be concealed or the stationary ones while at base. the consumer products are worthless to the military. selling off or dumping enerplex was best thing they could do as it was holding them back and a wrong direction. This thing is an all or nothing bet.
i will agree. i have the cellular case for my iphone. stupid concept as yuo have to put phone in direct sunglight and it destroys the phone with heat. The backpack is better however. This is not a consumer product but can have great impact with military and large scale applications.
my hold long 2m is set at .75 cents. I would be a happy man at that point. Just hope to get many more bounces before then and maybe increase my hold positions up to 4m and lower sell to .30 Not holding out for the buck.
Volume is nearly 6% of what it was last week. No interest anymore. Looks like was a bunch of hype and all us hopefulls held on. may see a large pullback if this volume continues and no new news of a contract. A contract is the only saving grace for us longs or we will see the .0004 again by end of month. argh.
I wish i could vote myself into a director of the board position and also vote myself a raise. that share holder meeting was worthless other than giving more control to one person Victor Lee. Scary.
Low Volume usually in the past is a sign of a drastic pull back and 50-80% loss of all gains and then a trickle down again from there. Good things is that it is holding with low volume. GLTA longs like me. maybe we are at that turning point.
Yes, I believe it is possible if GOVT contract for 100M was to happen it would be .25 cents, But wont hit a buck until the contract is fullfilled and payment made because there will be concern of fulfilling that large of a contract on time.
haha yeah gotta laugh a bit at the article as it was a paid pump ad
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and the medical devices only keep people alive and moving during sunlight. and then they die of skin cancer a bit later. yeah this one does not make sense at all and i am in agreement same name wrong person.
Meeting notes.. They decided on decaf not regular. I really think that is going to be as good of info about if stock is up or not as what we get from the meeting. Until a ACTUAL contract is "inkd" it is all P&D and speculation. just opinion from watching this for a few years
have you not heard of taking tax credits and investment losses in business. Large companies take all sorts of losses as it in the end makes the company money in years they need the help. It is also a great way to hide income for many many reasons.
Little Concerned isnt a run before the meeting..... In fact dropping. did some news leak to MM or others to dump ? Usually it goes up before meetings.
Investor Relations Cannot give you any information that is not posted as public information or that would violate trading laws.
if we drop to the 14's this thing will drop to 0005 again fast. the other side however is if we break 25 who knows where it goes. Worth the risk if you ask me ! holding long still and will triple up if it goes the other way
if no contract is announced in the Shareholder meeting we will be back to .0006 bu end of week making huge buying opportunity again. Still holding my long shares and staying positive thinking LONG TERM
Specially on this roller coaster that usually has more downslopes than up, but someday it i believe will all be an upside.
shooting for .0005 or .0006 Either keeps the doubles going. Or if i miss, i still have 2m for the real run
Will buying prevail or Selling in the last two hours ?
Keep 2M long and play with 4-6M I say we see .0005 before we see .005 in the next month.