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Hey UF you in ECDC, looks pretty
Red would be ugly today
Hope so would make a nice day for my penny stocks had 1 up 50% this morning.
bounce off .30s maybe see if hold .29s
.32 crack
I am happy with my .335 sell
In @.17 03/01 out toda @ .335 Will wait for pullback before possible reentry. I believe earnings or losses tommorow
Then there are management salaries!!!!
Anyone check the Texas Railroad Commission. Boyett-Chalmers doesnt exist!!!
You people dont get it there is no money here these were only trading vehicles. They were tickets bought and sold thats were the money goes. Have you not ever seen a stock get delisted and becomes worthless, no value not to me or anyone else.There never was any value in the cvr except for what you could buy and sell it for. The company did not sell these cvrs they are not stock they were a gift if the goals were met then they would buy them from you.There was no manipulation it was all in the DD that if goal+ wasnt met no money.I made my money on the trade and saved a few for the hope that there would be a payout but going over the numbers as of the previous quater it was unreachable. Check post 3841
I dont believe there will be a payout based on the numbers 846,522 cumulative through 6/30/2010. and 186,000 six months ended 6/30/2010.Even doubling 186,000 for second half of 2010 is 372,000 + 846,522 =1,218,522.Shortfall of 60,478
I wouldnt bet on any trading tom earnings are supposed to be out before the bell. Wouldnt make much sense allowing trading after we no the news.
Or shorty covering
Looks like done trading. Are we holding the bag??? Bag of gold or Coal???
Something else that has been eatin at me is the fact that 2008 and 2009 they did a 10k and then a 10ka in March. If they follow suit and that happens again I wonder if it would change the potential payout
What will happen with the short positions eod tomorow? If there are any shorts.I guess they would have to pay the brokers for their position just wondering....
I agree I am thinking in the under 1.00 range, which would be fantastic. Earnings are supposed to be out wed before the bell I wonder if it will trade that day or be done tuesday. just a thought
I find it hard to believe I bought into this on momo as a daytrade and could get make so much money on it LOL NOT IN MY WORLD. This doesnt happen
I dont want to be a naysayer butI dont believe that we will see any substantial payout, simply because I dont believe you can turn a few thousand dollars into hundreds of thousands overnight.I am in from .05 and am looking to get out of half my holdings and let the rest ride,and maybe I will be proved wrong(hope I am). Just my opinion.
I also wonder since the 2 previous years they did 10k/a on March 31st if that would affect or change the payout outcome.So many possibilities here. I would like to see a runup so I can take half off with a nice profit and let the rest ride, win win situation for me.
I wonder if 10k will be before the bell or after on 23rd.I also wonder if the trading price will be anywere near the payout price just thoughts.
11:00 explode through .09
The problem is we only get paid if they surpass the goal not just reach it.Which means to save face of the company they can beat the goal by $1,000,000 and we get 1,000,000x2.5/163,500,000=.0153 per cvr.My thoughts are the cvr will close out somewhere near what the payout will actually be.These numbers are hypothetical but the calculations are from the cvr statements.
The CVRs will cease trading shortly after the Company files its annual Form 10-K for 2010. The owner of the CVR on that day will be the final owner and is eligible to receive payment should the corporate financial targets of APP Pharmaceuticals be met.
I hope everyone here realizes they have to earn $391 million past the $1.267 bil in order to get the full $6.00 eom
by the way I am long from .055 so I am not a basher just a realist.
If we go red on the day .055-.06 comes quick
.08 seems to be support right now, alittle upside would show good
We must also remember we only get paid above the goal.Each 100 mil above goal = Appr. $1.53 per cpv.
I dont believe there will be a payout based on the numbers 846,522 cumulative through 6/30/2010. and 186,000 six months ended 6/30/2010.Even doubling 186,000 for second half of 2010 is 372,000 + 846,522 =1,218,522.Shortfall of 60,478
I am curious to see what will come from all the recent volume!!!
I would be happy to see .50 before 10k and get out of half holdings with a nice profit and hold the rest for what ever comes.
Problem is even if they pull those numbers in it only pays 2.5x the amount over 1.2 Which figures to $1.50 per cvr for every 100mil over the 1.2.
If I understand th CVR correctly we get paid 2.5 times the excess of 1.2 billion up to 6.00. Max payout is 979,500,000 divided by 2.5=391,800,000 in excess of 1.2. If we assume they make the 1.2 and go over 100,000,000 we get approx. $1.50 per share.Please let me know if I am way off base.
If we can see 1.00 before 10k release i will sell half then let the rest ride.today looks like all the rest of the run ups; just more volume. Lots of selling into the runup
I find it interesting that both 2009 and 2010 they filed their 10k's feb 19 and feb 24. They then in both years filed a 10ka on march 31. It would leave me to believe that they will do something similar and wonder how it will affect the potential payout.
Ya justspotted it huge vol cant find info on it
picked few hundred thousand .004 we will see
Hey look at IMSC, its in the Homeland security business and gets a 2.1 million contract and bam to the moon. Why cant HSCC get action like that with a 25 million contract. Monday at 9.30 am on CNBC someone spoke about the company and recommended buying it, it was at .38 I looked and said I will watch it, 15 min later it was at .65 am following it since kind of interesting maybe spur some interest in security companies.
HOD and close .06 eom
As I said originally I got into the stock on a day trade with no intentions of still being here at this point. As I have followed all you gun ho investors I have seen some potential in the company but dont have alot of faith in the pink sheet market and its manipulation. I will stay put so I can be proved wrong in my thinking about these markets.When it comes down to the bottom line the big boys always win and us small fries get the shaft.I have been trading and investing for 25+ years and have a very nice diversified portfolio of stocks and mutual funds.I have been in several stocks in a position like HSCC with lots of hopes of hitting the big one with little success and that is why I come across so bitter sometimes. I have found just because we love a stock or product doesnt make it a good investment. I do hope that HSCC does come through but if we see .001 again I will move and forget about the lost cash and try to learn from the experience. I do enjoy reading all of you guys post and will support your efforts for whatever it is worth.
Stoquer1
The problem is that it is a pink sheet and pink sheets are manipulated to the fullest extent. Even if the company is a great company in order for big money to buy in to it you have to show them the goods.All us small potatoes buying a few hundred thousand shares arent going to make it .50 or 1.00.The PR yesterday was good until they said the first order was for 5 units.It wasnt rocket science to figure out the selloff today considering the runup its had the last few weeks.