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90% of the closing price on the day they draw. So it can be 1.00 and they’ll pay .90 it’s like a draw. It’s a huge deal, no dilutive warrants and per par offering here
This is kind of a big freaking deal, this is controlled by SEGN in the form of say. Hey we need $500,000 so they will take whatever closing price and purchase $500,000 worth of shares. This Co Peak is basically making a $10 million dollar investment potentially. That’s kind of a big freaking deal for a .06 Stock.
A lot of new info coming. I’m trying to liquidate some other positions to start adding more, not that I really need to. Why not though?
Ill put it in the terms of what is about to happen. “GASOLINE IS ABOUT TO BE POURED ON THE EMBERS” load up and buckle up. Big things coming.
Like a good luck charm. Every time he posts it goes back up!!
Yep, it took a lot to break that .06 and .07 wall. Now, they are becoming resistant points again.
No buying or selling pressure what so ever.
So you sold 60,711 shares at .033 today? You flipping 60,000 shares....?
And we’re red, absolutely ridiculous
Yep, thats why it’s a no brainer to me. Even with impairment their re a should be increasing for Q3/Q4 maybe even did Q2 which should offset that some. I had a little higher at .31 but either way we could buy the company for less then 1 million at its current market cap and turn around and sell the assets and pay the debt and walk away golden. That is just using an example of how undervalued this is right now
Anyone else see that 500,000 bid pop up at .063
I’ve got about 10,000 I’m about to liquidate and start adding more. No funds to add today.
This is getting quite ridiculous
Haha do what? It’s a penny off it’s all time low. What did you talking about
No joke this is so undervalued
I think she is ready to flip on an upward trend
I don’t know but it’s sure getting old as heck.
Oh okay, I’m only seeing CDEL not CFGN
CFGN is gone at least today.
I doubt it, because the Company was private before it’s likely in the form of loans. Unless the restructure the debt, that debt isn’t structured to be converted into shares.
Meant to say OTC MARKETS is incorrect
I don’t believe the OTC Markets is correct. Because Crescent Saints Holdings 13D reflects a 75M ownership. Plus, it’s been confirmed 22M have been cancelled and 8M are being held. I feel the float is much smaller, which is why it’s trading so thin both ways.
Last 10 Days. Tonight not included.
Volume: 11,503,313
Short Volume: 5,907,986
51.35% short volume last 10 trading days some days were over 75%
News is Def coming confirmed
Thought .04’s were high and you were buying .03’s and .02’s, interesting change of direction
Kind of my thoughts as well.
I read an article about CDEL before how they are naked shorting OTC PINKS with shares they don’t even technically hold making bank on the spread a while back. That Company sued them for driving their price down. More Companies need to step up and bring it to light.
Yeah we do
News is coming so we should get some new eyes soon.
I didn’t realize the extensive background of the CEO. Was with Prudential and others, as well has been very successful.
CDEL has so many shares on the ask hidden, they are manipulating OTC so bad. Making an absolute killing by doing so. Driving ask down to bids to create volume or load the ask, to make money on the spreads. Out of my 7 OTC holds they have 100,000’s on every ask right now.
I won’t lie, I have 100 free trades credited to my account and kept slapping 100 blocks every time it would turn red while I was around today. Closing green on a Friday period is a strong sign to me, but even better seeing as how slow it’s been around the entire OTC landscape this week!
Even with the hold back there aren’t any big sells I have seen. Small sells but better buys.
.0564 bid x .068 ask
Yep, crazy. Best week of news and the lowest weekly volume since May and we are down over 15%
You’re 100% correct I mentioned that to a friend yesterday. Crazy.
No interest, no one knows about it enough to bid. No volume, no bidding and little slapping. Until we get volume we will probably stay in a .055 .075 channel on small sells/buys. An actual good Company getting zero interest.
Yeah, there are some great traders on twitter who have stated many times on SEGN, but the markets are filled in a world
of day traders and flippers who make $100-$200 bucks and feel its a huge success. When they are missing thousands or sometimes 100,000’s or many trade high O/S, debt rumors of these huge revs that never have any substance. Crazy but is what it is. Our days, weeks and months will come.
I bet if we had 1 billion shares outstanding, a ton of liabilities and nothing but rumors we’d be over .15 by now, haha. It seems that’s what everyone trades is high outstanding share, float rumors that always get delayed.
It’s extremely thin!