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ICPA up over 1000% since this alert. Wish I had played it. :)
I have a better idea. How about I don't send you anything.
Miss Roachita doesnt lie......rude.
It's down 5.19% from yesterdays close. Close to Close.
I vote that for the 'dumbest reply to a serious post' ever.
But I really like to scratch my itches.
Sorry Risky.....I mis-read your post. Apologies and good luck to you.
Lol.....yes I do. And I imagine they do also. Might see a lot of green from there. You may not be aware of this, but this is not going to be the last day of trading for HBRM.
She probably has nothing better to do than answer all of these IHUB emails.
Relax
I noticed the poor grammar, but what bothered me was the message.
If you truly have the goods why threaten? If you can do something, do it.
Go HBRM!
What is your point? You cant seem to talk about anything but shorts. Everyone knows there are shorts and longs.....so what.
Very true indeed. Thanks, and best of trades to you.
Most of us aren't 'investing' in HBRM. Most of us are trading it. Traded it up 42% today. Pretty good I must say.
You're quite welcome
Nothing sloppy about it. Have you covered yet? You should really think about preserving your capital.
The point is that they are holding a short position and want the PPS to go down so they can cover at a good profit.
This is a great read for anyone that doesn't really know about short selling.
It's a great read even for those that 'pretend' not to know about it.
STOCK MANIPULATION-SHORTING (article)
The Short & Distort Scheme
Stage I: Monitoring: In stage I of a Short & Distort scheme, Short groups Monitor spikes in volumes on stocks with no rumors.
Stage 2: Flagging: Shorts Flag stocks that run up then sits back and wait patiently for their time.
Stage 3: Preparation: The Shorters research the company and develop their Distortion of the rumors to be used later.
Stage 4: Actual Shorting: The shorts step in, selling on every possible up tick. This is the Reverse of front loading. Preparations are made to attack the guy who had earlier written positively about the company and take out, discredit, any new long-term champions or messengers.
Stage 5: Distortion Campaign: The shorts step in and increase selling on every possible up tick. Just as with the pump, newsletters, e-mail, PR firms against P & D, etc. are simulated. Expertise in the field is recruited for credibility. Any possible twist using POS (Purposely Omitted Syntax) and PAS (Purposely Added Syntax) is conveniently used on every possible angle. If the POS/PAS is discovered then attack the messenger.
Above all control the message boards. The group clutters the message boards so no positive information can be readily found. Justification is the Value of the Company in the market. Projections of $0.00 worth and loss projections of 100%.
Note: The market manipulator will do everything in his/her power to keep buyers OUT OF THE STOCK. Cut your losses is touted to stimulate fear. You bought higher but now they need you to sell lower.
Stage 6: Pressure: The shorts have taken it too far. The volume is increasing and the price is not effectively dropping. A stalemate occurs. Personal attacks increase. Threats of legal action, SEC involvement, and yes even death threats increase. Increased secret IDs are employed to increase the cluttering, personal attacks and the distortion. So begins a string of lies that run for as long as one's stomach can take it. Desperately playing on the "you have been had" scenario. Any new news will be hit hard by Shorters to kill any interest.
Note: Watch the volume not the share price. A market manipulator will have various brokers buying and selling the stock to give the APPEARANCE of increasing volume but the price goes down. Thus stimulating the story the company is selling or an off shore Reg S or other convenient scenario. Watch for large blocks that show up but have an MM special code, crossovers, etc.
Stage 7: The Cover: Without warning, the buying pressure is too much and the short begins to cover. Short covering combined with new investors buying into the stock causes the stock to go up. Often the whole thing starts again. Just a vicious cycle sometimes.
LOL....good one. I never put the IMO on my posts in that I believe that anyone that has read IHUB posts for any length of time knows that if someone is posting about a future event like where the PPS will be it is purely speculation and obviously In their opinion.
But maybe Stockimaniac thought you had a specific reason for the guess.
Anyway...."based on IMO" is one I'll remember(and maybe steal in the future) :)
Good luck everyone long HBRM!
Good morning Miss Roachita. I was just on twitter reading a few tweets. Very interesting. This play looks so good. HBRM Lots of upside potential short term I think.
Short cake maybe. I Love short cake.
I cant imagine what short volume is if its not the percentage of shorted stock.
There has been normal short volume on this stock every day that I've looked. Not excessive though.
How do you tell those are AON's?
HBRM
I slapped. :)
HBRM
Thank you Next and Miss Roachita. This looks pretty good. I think we'll move up throughout the day. GLTA.
Where do you have the pivots and resistance today Miss Roachita?
FUEL is also worth a watch. Very low float and totally tanked or tanking.
There has to be a bottom somewhere here.
Low Float - Pincher play - Bottom play.
ADX @60.0... PPO@ -30 Massive pincher.
It has to move sooner or later.
ICPA is one to watch. Low float and the indicators are turning up. Lots of players seem to be expecting news soon, and that could be good or bad.
If the news is good it could take off, but more often than not, the news isn't up to the expectations and an over-reaction occurs resulting in a selloff.
It traded about 7.5 mil today. Couldn't break the 50MA, but held support nicely.
Accumulation is way up.
This is definately one to have on your watch list.
It could really use some volume.
NTRO Low float with really nice accumulation. Watching indicators closely for an upswing.
This may be a good time to get in.
LBGE
If you like a nice channel to trade in this is the one.
339mill OS
290mill restricted
Float around 30mill
BLDW is looking very strong with a great share structure.
Shares Outstanding 159,709,903
Float 10,382,824
Authorized Shares 500,000,000
BFLX is still a low floater and moving up a bit today. Could see major reversal.
Shares Outstanding 93,166,667 2012
Float 41,610,000 a/o Mar 07, 2012
Authorized Shares 200,000,000 2012
I'd love one....thank you Miss Gem.
What's on our watchlist today?
Thank you Daniel. :)
There was no trading in this stock before the BDPS promo. It had no volume at all. 10 months of nothing. Now here we all are....railing about this...or that...BFLX blah blah blah.
Trading in this stock is just a bunch of nonsensical weirdness.
I have never been more disgusted in a trade than I am in this one. I look back at it and can not even begin to justify ever trading this stock.
Look at the chart before the promo. Do you see a trend? No...no trend there. How about the indicators? There are none.
Was there great news that week to indicate something had changed? No....not that either.
Just a stupid BDPS promo. They said buy, and I did. I got caught up in the Ultra Hype of what the next big promo would do. I have no idea of how I went from disiplined, well thought out trading, to whatever this was. (I don't even have a name for this nonsense)
But nonsense it is. There was, however, a group of shorters that saw it for what it was. A big group of sheep with their money ready for the slaughter.
Pretty Baaaaad trading I must say.
Oh great.....now I hear that song in my head and cant sleep. Thanks
It could be ready, but I still don't trust it.
The short volume is still at 40%. So either their covering...or still playing, or both.
But until they're clearly gone I won't touch this.