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I agree. This thing moves fast when the buying pressure is there. Lots of potential with this company.
If they release that news tomorrow or Wednesday we could be over a penny by Friday or Monday.
Wow. Crude
Just be patient people. Geez
No they didn't. They've said "soon" in the past but not that specific until Friday.
Closing out? Lol okay. But be careful u don't close out too early. I had a buddy in fit* do it in .0060-.0070 range and it within 4wks hit .10 Not a good feeling I'm sure
Well I think we will rise next week period in anticipation of news. We all may be surprised by a Monday pr. Who knows. I know I'm excited though.
Acquisition plus finds approval next week would send pps to .02-.03 range quickly
An acquisition would be crazy huge.
We will have heavy volume monday
Did you mean to private message someone? lol
I dont think its a matter of pps because they understand that the pps will come as long as they are keeping us in the loop and they are making progress. I think where we are in terms of our financials, acquisitions, etc. will influence that decision more.
You just said exactly what I was thinking. Thinking of getting these shares at this price will be laughable in about a month (maybe less). I mean I refer to DEW* a lot on here but its because its SS was similar to ours when it ran from trips to .0299 within a week. And the news that propelled that run was not as good as what I believe we will likely receive within the next two weeks. Monday may be the last time people can pick up these shares before we launch into the teens. And that's if we don't get news pre-market because I feel we will gap up if that happens.
No worries dude. I wish it was in 2 weeks though. But we will be at a penny by April 1st.
They said audited financials ready end of April. The quarter ends March 31st however. Just to be clear. Go TLNUF!
VFIN was on the 6s and got taken out and now he is chilling at $2,000.01 per share LMAO. AEXG is the only one to really worry about at 8s. I painted us up to 7. Hope we hold the 6s Monday ;-p
Maybe so, because any long selling their position into the 4s will regret that soon.
Wow, someone just cleared their position at like 18 mil. Whoever that is is just plain crazy. Wait til later this month...
Looks like people are accumulating this stock like crazy. New to this one and recently got in. This will ride up soon.
Bring those bids up folks
Someone took the 5s out!
Just letting everyone know I just sold a very small amount 1.2 mil to move onto another play but still holding over 20 mil shares strong! I don't know why it shows on level 2 twice though, really weird.
It's not dilution. The company has admitted to diluting last year but has said the debt is paid off. This will all be proven once the audited financials come out soon. Get your facts straight and do DD
I'm thinking early May. We will be in pennyland by then also
I think this email from January 2014 seems reasonable and level-headed. If anyone wants to sell because they can't wait a few weeks then go ahead. He says very clearly the plan to uplist. Think about it, the pps has to be in pennyland for that to even be possible here. The company must have stuff up their sleeve that will get our investing juices going that would raise the pps. Reading his email makes me feel better. AGAIN, those with patience will see their brokerage accounts balloon soon. Those who can't wait will be sorry. This company is so undervalued.
From: "Paul Phillips" <pphillips@telecorp.com>
Date: Jan 16, 2014 10:27 AM
Subject: Update
To:
Cc: <investors@telecorp.com>, <investorrelations@telecorp.com>
Hello
Here is an update.
The I/O is 2,709,623,770. The float is approx. 357,200,594. We have increased the shares to give us space to sell debt and gain assets. The model we are using is a proven model from Securities Attorney, a PCAOB Auditor and a group of securities executives.
Telecorp Lawyers are in the process of filing with Finra. Some documentation has already been sent. We are expecting approval shortly.
The plan for us to get up to 4 million in assets mid spring and then enter the AMEX Exchange at $2.00 value. We are protecting our investors in the company and they will receive after Finra approval what they paid in Preferred shares. There will be a point where there will be a market adjustment on common shares but all Investors will be protected with their preferred "B" shares. These shares will be restricted for one year.
Here is how it looks now.
You have your present common shares and now you will have (as soon as we get Finra approval) the equivalent of what you paid in Preferred “B” Shares as well. These shares will have a fixed value of $2.00. For example if you bought $5000 in stock shares, you now will have 2,500 Preferred B shares with a Fixed value of $5,000 in Preferred shares. These shares can be transferred into common shares at a par value of $0.0001. So that will give you 20,000 common shares for each $2.00 invested.
This plan doesn't protect speculators just true investors. Common shares will be sold at $2.50.
Check this site out and will explain http://www.investopedia.com/articles/stocks/05/052705.asp.
Hope this helps.
E-mail me with any questions you may have. Thank you.
Sincerely,
Paul Phillips
President and CEO
Company: 877-754-7554
Cell: 1-416-419-0596
Direct: 1-705-252-3400 or 1-905-595-5309 Ext. 1999
Fax: 1-705-252-8353
Skype: TelecorpCEO
MSN: pphillips@telecorp.com
Main E-mail: pphillips@telecorp.com
Visit Us Online: www.telecorp.com
Notice that the response said UPDATES. I really believe multiple PRs are on the horizon. We have to just trust in this mgmt team to make progress that they can report on.
Well shortly could mean tomorrow. He can't reveal an exact day
sounds like news any day now
Yeah he's back but just relax. The imminent news is more important than him.
We really all should plan a Vegas trip. #Ballers #Courtesy of TLNUF lmao
I agree. Friday would be pretty sweet. But I feel like it's going to be announced this week. Every AM I'm so hopeful just before I turn on my computer. I'm anxious
Yeah. People that are upset about "them taking too long" have two choices: (1) Sell and be pissed off at yourself when this one is trading in pennyland in about a month (or less) and for the remainder of the year, (2) Keep calm, go play Scrabble or a game of Chess, and wait until the prs start landing because when they announce (what I believe will be) an acquisition shortly after the divy news or some other major milestone, you will be elated that you relaxed and took a chill pill. We are ALL going to the moon and we ain't coming back!
This is a company trying to uplist and that has openly stated its dissatisfaction with the pps. They aren't trying to push the pps a few ticks. They are looking at pushing this pps back into multiple pennies. They know the only way to do this is by regaining shareholder confidence. I think many will be surprised what they must have up their sleeve. I see a big rise coming. JMO
Not taking a dime below .01. This thing is heading far North assuming the deliver on their expectations.
I agree. This company has enormous potential. We are all patiently waiting because it will pay off. I have $20k in and feel really good about my investment.
bid support growing at .0005
Yeah, hoping for news when I wake up. I'm ready for this one to rain.
ADD ME TO THAT LIST!
We get a pr tomorrow & close at .0008 only because I think it may take heavy volume to clear the wall at 8s and 10s. But clear .001 by Friday.
Yeah. We live and learn but I don't want to learn that again lol