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I have a buy for 150k shares at .005. hoping to add to the 120k @.0038 that I got last week. I have about 100k shares from earlier this year that are averaged around .058 so hopefully these sub pennies can get me some good recovery
Unless we get news.. I believe that it will go down a few ticks early morning... then test the .01 area again later in the day .. only to close black or red..... so basically some sideways trading.....
Now I am just basing this on gut feeling...no charts or special info :D
Not sure if this has been posted yet, but have yall seen these
https://picasaweb.google.com/108296048493845337415/TiVUSInPhiladelphia?authuser=0&feat=directlink
Well personally I intended to sell and rebuy. I bought in 120000 at .0038 as an ave down and I told myself to sell that lot at .02 but I though it would go higher even though in my gut i knew it would retrace. In that case.. I could have sold and rebought the same amount of shares or more.. and still have money made.... .. So for me thats my logic in selling to rebuy... but I also agree with you on thinking it would go much higher.. which is why I am still holding those 120k shares.... but even now thats over 100% up
OK I didnt get a chance to listen to the conference call, but let me see if I can put this together from what I have read.
The PR that we are waiting for right now is the official PR announcing the MOU -> Contract conversion for the Philly Marriot. Although it was mentioned in the CC recap PR, we are waiting for the official announcement with dollar figures.
TIVUS had an MOU that covered 3 of Hosts properties. Philly was 1 of them. We haven't heard anything else on these other properties yet, but I assume that those will remain as MOU and will be installed as already agreed upon.
The other properties that everyone seems to be talking about wont come until TIVUS can present a 12 - 18 month plan to Host... which will take some time I believe.
Am I right or am I confusing something?
If you sell the shares.. then you will actually loose the money... Right now what you are seeing are Unrealized Gains/Losses. If the price goes back up, so will the value of your shares.. and if you sell it then you will have made money.
there isnt a static formula for calculating that. I had 30k shares at .10... at .04 i bout about 30k more.. and 120k at .0038. Although the average is .10 depending on the amount of shares that you purchase on the low end, you will bring that .10 down alot.... Unless you bought like 100k shares @ .10, it shouldnt take much money at .01 to bring that down considerably
Big name people dont affiliate themselves with scams. I dont think anyone of the Marriott's caliber would put their names on the line for a few bucks to be made on a pink scam. I believe this is a real startup company that will break it big once the ball starts rolling for real.
My average was at .10 as well... I wouldnt wait for .00's before I'd ave down. Even in the .01's you are buying at ~90% less than your average.. so it will come down tons just from that. Now i do agree that .00's look nice.. which is why i bought some.
I bought back in at .10.. ave'd down at .04, again at .01 and now at .0038...
I got your PM ID and yea I though so too. But I should have listened to my gut.. especially with the premarket movement early on.... but hey cant kick ourselves forever.. I just look at is as I missed this small profit op and it will push much higher.. so it may turn out better that I held on that that lot of shares.
I told my self to sell at .02 this morning and buy more if it dipped... but that little greed monster was in my ear saying : "but it may go even higher".... I hate that guy..... Oh well ill hold for higher gains anyway
I see many companies (fully reporting) put out the late filing notice. As a pink they arent "required" to do so, but it is a good look to see them complying with standards as if they are already fully reporting.
Even if the q2 is late its good to see notice of it.
could go either way, but im feeling like EOD will move big one way.
Dont worry.... TIVUS will see you as an investor on the big boards one day. :D. IMO of course
Edit: And I agree. Pinks can get very draining if you watch em too hard.... hell they drain me even when i dont watch them, but I know how ya feel. GL man
Man I wish we had some bid chasers.... wheres LAFC
Needs more Bid support.
Im really going to need this not to gap up.. I hate gaps.. Id rather see a nice steady buying pressure run
Before I added margin to my account, It took 3 days to settle. But after I did a margin upgrade, my funds would be available to withdraw immediately.. I dunno if they use your margin to buffer the settlement or what... but thats how it works for me now.. ive fliped 2 - 3 times in 1 day with the same money on etrade
Oh yea I know.. Im trading here now to get more money to reinvest here. Main reason i sold at the first run up. Get more money to get more shares if it came back down... Granted I bought back WAY to early, I still like this company. I will continue to do so until I first make back the money that I am red, and continue to make profits going forward.
Unless this company just falls apart, Ill be here as a long & strong trader... Although those terms dont usually go together :D
Based on the news and what we know is coming, I dont mind either way it goes right now.. if it does try to fill the gap, i have a buy for .005's and i have a sell for my .0038s for some minor profits. When we finally get the official PR with numbers, I believe we will see a run just like this time last year..... Maybe a bit less giving the current OS vs the previous OS, but a pretty big run IMO
Is the Ask really as thin as it looks or are they not showing full blocks?? Been playing MMT* trying to recover losses there from last summer (which im still red in) and I noticed the same thing... Millions of volume but only 5k showing on the Ask sometimes.
Now we just need some volume
That is why ive been here so long....
Ill drink to that.. Someone make me a grateful dead.
dont let it fool you... it always "looks" good with TIVUS.. cant wait till it sticks for good though
I got greedy too thats how I ended up over extending my finances and sitting so very red right now... Its all good though.. lessons learned... very valuable and expensive lesson, but a good lesson.....
same here... ive been buying back what i can, but i slowed down since this seems to fall lower and lower each time.. so i stopped buying and started waiting.... but im buying now... maybe
Yea after a run like that I figured it would come back down so i pulled the trigger at .20.. Never though it would go back as far as it did at that point but hey.... we dont know the future so.......
Maybe, but 6k for me is a lot at this point in life... You probably have way more money than me :D
Far from bragging.. I bought around 3 sold at .20 in the first run... bought back in at .10 on the way down and I have been holding since then. So I have been trying to bring my average down.. Im negative like 6k on this stock alone.
I said my current average is .058 not .005
well i got my 120k... with a ..058 average i guess this will bring me down a bit. not putting in any more until after the CC... maybe
anyone having an issue getting filled? I tried to get the 50k at .04.. they held then showed 500k... WHen i cancelled my order, it went back down to 50k on the ask... Same just happened with the 120k @.038
Im considering buying some more tomorrow in anticipation of the CC. Hopefully its good news. Been flippin in and out of MMT# trying to recover some losses from there from last summer. So ill take that recovery/profit and get some TIVU tomorrow probably. Would be a huge av.down from my current
Most Companies Ive seen hold the CC after the close of trading. You will see that with financial filings sometimes too.
why not do both
Dont feel bad.. I traded .0018 for .0034.. Been meaning to buy back in but never pulled the trigger. Its all good though.. I had some shares from my original investment at .05 last summer... so at least i can recover that and make some profits on the .006's I bought earlier this year
Guessing no resistance for now...
Is this dividend for MMTC holders or EPOR holders? It says Epic declared stock dividend... so i wonder which it will be for
Well .05 was my entry point last summer... I would love to be able to break even on my original investment... plus make profit on what ive AD'd on
Well .05 was my entry point last summer... I would love to be able to break even on my original investment... plus make profit on what ive AD'd on