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you can add some kind of MM signals and so on
Still holding a nice bunch of shares here. And as a surfer, I am waiting for the big wave :--)
Huge volume!!!! Here ….
Hi SB, it seems you brought back a team of angry birds here..
It’s nice to see some activity here thanks to your loving
Partnership
With them lol
Hopefully this will attract new followers!
Cheers
We both know that it can move quite dramatically if there is some buzz.
Haven't checked twitter to see if there is some chat going on.
With OTC stocks, silent Company cleaning their balance sheet are less rewarded than the one pumping half news every week.
let's see ...
Quite similar chart until
These days (last
Big spike was widely shared in the pinksheet universe)
Nice bids these days…
We never know when volume will hit the ask for the run. But it will.
Hopefully they will mive fwd
With the sec docs when
Enough profitable
I don't use to post here as there isn't much to say about PSPW as we are all waiting for the Great Opening.. waiting.... maybe should I say Hoping...
Regarding Europe and the energy problematic... i think very reductive to gues a monthly energy bill for a European family...
Situaiton in each country is so different... Germany is in a quite different situation than Italy or France i.e. some are out of nuclear, others are less dependant of Russian gas and so on... Then.. each country is preparing its contigency plan for the winter... what we have to do in order to consume less.. and so on...
then note that a good chunck of the energy bills is composed of taxes and other fees...
There is many other aspects that will determine what will happen in the next 6 months...
hydraulic electricity production will depend of weather conditions. same for wind...
consumption will depend of temperature.
Medium term, this crisis is pushing european countries to diversify energy import and as well to be more efficient in terms of consumption...
the good point for us is that the need for hydraulic production looks more important now versus ecological, environmental matters...
Bought today… time horizon 3 months…
It was a long time I hadn't watched Level2. Same pattern as we had during the long consolidiation, quiet periods... A few bids with decent size and some traders fighting to be the best ask, trying to sell for a little gain.
Obviously when I see this kind of seller, I tend to stay quietly at a lower price waiting them to catipulate and sell at best to me
currently.. someone selling 140862 shares is just lowewing, lowering it... and another one stepping a tick lower each time.. funny.
update.. finally sold its position at 0121..
let's see if this trigger a nice week here.
Nice find.
I need to check more often their website to spot any news before you
no mention of a decrease of the A/S. Obviously this would make a huge difference. But it's mind-boggling they did not announced the R/S when voted and waited the filing !
What a bad communication
I don't think they will file anything with OTC in the near term...
Fine for me as the y are now providing public information on their official website.
No plan of trading the stock. The only thing that matters is that the Company isn't an empty shell and has a business plan.
If successful, if able to be profitable, BFHJ will make us happy.. Long term and worth the risk at this stage.
Thank you.
Nice to see these updates.
They have been repaying the debts step by step. Q2 in lime with Q1 in terms
Of income and benefit.
I note they paid 30k of
The accrues profit sharing… would love to know more about this and about the 52k inventory
not that I know.
But I see the same pattern we had before the huge price increase a few months ago... accumulation in relative low volume and then bam... big waves of buying triggering interest and so on...
look at the huge volume we had in the past... currently we are still trading only a few shares
nice price action today
The current behavior of the stock reminds me the previous pre-run accumulation we had...
Would be nice to break the range and to have some excitement here.
One reason why we buy a stock, many reasons for selling it.
So your exit strategy depends only of you and what the remaining 20% means to you.
I would say:
- we don't know what is the amount... In absolute and in relative for you.
Are you speaking about 200$ still invested, 2000. 20000... Obviously not the same...
And then, what represents 200/2000/20000 for you.. part of your savings/half of them/100%...
Small amount, small % of your savings...I guess you won't be asking.
Otherwise... up to you...
Imagine you are at the casino... lost 80% of your money... You have still 20%.. What will you do :
a) not my day... I prefer to keep the 20% and will come back another day
b) Play another 10% but not more. So I will bring back home at least 10%
c) whatever... all in...
This is your situation...
The main news is that they are releasing the FS after months/years.
And it is nice to have a summary of the past years of activity.
Having said that.. no big nice surprise in terms of activity until 2021... Quite no revenue and expenses..
But 1st quarter shows less charges and they listed several projects which should bring revenues.
So yes...everythings point to BFHJ being back in business.
Let's see what happens next !!!
So nice to see the end March quarterly report and catch up of previous years !!!
This is quite a NEWS !!!!
Not posted yet on OTCmarkets but it's a day off... tomorrow could be a big day for us !
http://www.beneficial-holdings.net/3.html
Nice to see PSPW up 20%+ today... Looks like a buyer is at work.. Would be nice to have a follow-up...
Crystal clear.. hints about his conviction about the stock.. ready to try a flip if a capitulation below 0.01 materialize
Will see when interest come back.
Focus seems elsewhere at the moment
We have all got our personal invitation for the great opening. Maybe you changed address ?
I guess you are still waiting for your target below 0.01 to buy some.. In the meantime we did twice 0.01+ 0.015-0.019..
We touch briefly below 0.01 as well before jumping back.. Let's see where is the bottom this time.
But volume is low now.. so less fun watching... and waiting for the buzz and volume
I let you imagine what is next
10000 shares trades every 30 seconds computers at work.
sunny in some place, cloudy in others
We will see soon enough if a bottom was formed after the bounce back from low 0.010.
I added btw
But be sure that this will spike up at one point... Company is communicating and cleaning the house. VPER name is in many follow lists...
When and why is the question but I am confident big days volumes are coming (again)
Blink investment was recorded as such in 2020 until 2Q.
In 3Q 2020 it went down to zero but a 52K inventory line was added but no investment CS8306. This one appears only in 4Q.
Could be or could be something else.
Good luck getting this information from the CEO
a few comments :
Income/profit:
As per 1Q 2020 (loss in Q1 2020), net profit (+$36K) is relatively low compared to income ($437K). As per SB, charges paid and booked versus income to receive, could/should be the reason.
General expenses (30.8K) are small. Most of the expenses are in the "Cost of goods" section. Mainly Direct Labor (158.7K), Job materials (73.4K) adn Union Benefit (104.5K).
In other terms, they have been busy working this Q1
Note the there was no "profit sharing" this time. Still wondering with whom they shared some profits...? What introducer or client provider... ? what kind of agreement brought this profit sharing... ?
Assets:
new vehicles.. value is up +49.5K
A nice chunk of the receivable were effectively received.. Plenty of cash at the bank
The "investment CS 8306" value hasn't been updated. Certainly using the investment cost as value.
Still a mystery what this investment is ? CS for charging station ? Whatever it is, hopefully this will turn out as a good investment in 2021
Liabilities
Bank credit line repaid (-50k)
Payroll liabilities decreased (-50K)
New notes to A.A.C. and Chrysler Capital for a total of 83.5K (+83.5K)
All together, liabilities are down to 288.5K (vs 305.8K end Dec 2020).
Conclusion:
a) Balance sheet improved as per what has been done in 2020: less liabilities, more cash.
b) Value of the investment unclear
c) strong sales with charges indicating that a lot of work has been perfomed
d) probability that some of the costs booked this quarter will generate the income only in Q2
e) Ma little two cents advise to them... please spend some money under "marketing" or add a nice "investor relations charges" new line
last but not least:
no change regarding O/S... even after some told us the scary "dilution" was at play each time we had volume
From 0018 to 0010 in 5 days.. I am adding..
Some
Volume today!
At this stage anything is good
Any speculation about this ?
no worry. The sign will be removed soon.
Attorney letter is posted and I am quite sure this was the missing documents needed to be current again.
https://backend.otcmarkets.com/otcapi/company/financial-report/281919/content
I guess the main point is that we can all agree that Evus is trading on air.
Regarding JNSH, the lack of information, update has always hurt any long term appreciation as a pps increase must be feed with more information, news than just the quarterly FS. IMO.
In the meantime some volume and uptick with IH board extremely silent... which is nice.. as volume and % could bring more players...
Maybe the 0.02 level is key to see momentum, momo, traders
Yes!!! Indeed!
Looks like you trigger some interest after a long period of accumulation in the 001-0015 range
It has been trading in a range for awhile here. New attempt to pass the 015 with relative low volume now.
I have still in mind the huge day we had a few months ago starting from here..
Like earthquakes... we can have little flags announcing it will come but when and how big is the question.