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Smoked Turkey with all the stuffing. Gotta have some pumpkin pie.
Opening looking good. Now trading at .0003
.0002(5) x .0003(9)
Vol=20.6M
Can't get out now anyway, so might as well wait till Frank finish that last 10% of the new restructure company.
Mostly buys at the Bid, so I doubt we'll see much at .0001. I would say more like .0002 to .0003
Although Net Loss increased sligthly, sales went up 362%. Strong sales is a good sign that this company is on the right track and could begin attracting major investors. Then we'll see the pps heading back to where it should be.
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THREE MONTH PERIOD ENDING SEPTEMBER 30, 2007 AS COMPARED TO THREE MONTH PERIOD ENDING SEPTEMBER 30, 2006
On a consolidated basis, the Company had gross sales totaling $106,068 for the period ending September 30, 2007, compared with $22,929 in gross sales for the same period ending September 30, 2006. This represented an increase of $83,139 or 362.6% in gross sales from the year before.
The Company incurred a net loss of $470,753 for the three-month period ended September 30, 2007, compared with a net loss of $431,216 for the same period ended September 30, 2006. This represents an increase of $39,537 or 9.2% from the same period ending September 30, 2006. The increase in net loss is primarily due to increased costs and expenses related to the Company's efforts to expand its business.
The Company's gross profit margin for the period ending September 30, 2007 was 85.7%, or $90,924. Gross profit margin for the period ending September 30, 2006 was 91.1% or $20,895. The Company's cost of products sold for the periods ending September 30, 2007 and 2006 was $15,144 and $2,034, respectively. The Company expects product cost as a percentage of gross sales to remain stable.
Consulting fees totaled $7,500 and $35,000 for the periods ending September 30, 2007 and 2006, respectively. This represented a decrease of $27,500 from the prior year due to a reduction of certain outside professionals used by the Company. Marketing costs totaled $44,355 and $60,701 for the periods ending September 30, 2007 and 2006, respectively. This represented a decrease of $16,346 from the prior year. Selling, general and administrative expenses incurred by the Company, were $245,802 for the three month period ended September 30, 2007, compared with $159,318 for the same period ended September 30, 2006. This represented an increase of $86,484 or 54.3% from the prior year. These increases are primarily attributable to additional expenditures related to the Company's increased efforts to increase sales and its presence in the migraine market.
The .0002 Bids are stacking up again after having dropped to .0001. Nice volume of 80M.
.0002(3) x .0003(9)
Now's the time to load up while everyone has turkey on the brain. Next week will be very interesting. A run is coming.
300M needed for what? I think everyone is waiting the 10Q report, then this this stock will do what DLAV did today.
Thanks Capstar, it just looked strange for the gap in posts as the pps was dropping while the news seem to be very good. I don't own BZCN yet, but I do have AMRE shares. I think both will pick up again especially if AMRE 10Q looks as good as they claim.
Does anyone know why there were no post for this stock between 10/19/07 and 11/01/07? It was during this time that the pps started to tumble. Then another gap between 11/5/07 and 11/14/07. This is when it really tumbled from .06 down to .02. I can't believe that everyone was asleep during these times. No one posted a single concern about the drop, so what's up with this stock?
I don't think he's gone yet. I have a feeling Sandy owns BKMP and hired Singjan to run things. How many people does it take to run an empty shell anyway. What exactly does BKMP have anyway? The real company is TFN Global and TFN which are private. BKMP is just hanging on the side to take shareholders money to pay the salaries of the private companies.
...but if you sue Frank, he won't be able to finish the Russian oil deals. Then we won't get our Royalty Trust payout. The stock will flop and we'll be left with a little worthless bag.
Oh, sorry, that already happen 3 months ago.
Now that's a R/S. These crooks are not playing around, they're going for the big bucks.
1:500,000 R/S will take the current .0001 pps up to $50.
I don't think BKMP still own any part of TFN or TFN Global. BKMP is now just an empty shell with no owenership in anything. Shareholders have been left out in the cold while Sandy get to walk away with fat pockets.
GLTA that's still in. I sold out too quickly, because I could have made 266%, but at least I made 133% profit, so I can't conplain. I'm just waiting on a good point to jump back in.
What do you mean "It has to double" for you? It went from .0003 to .0013 today, that's over 4x or 300%.
My sell order filled at .0007 for a 133% gain. I might get back in if there's a dip, but for now I'm happy.
.0007(3) x .0008(5)
No dilution here, all buys. This baby is smoking.
.0006(4) x .0007(2)
Why do you say this is a scam?
It's been over 5 weeks since the last PR, so it's about time for another one. If it's another good one, I can see TYRIA breaking loose and holding strong for the long range.
I would think that if you own 17% of a company that would mean you own 17% control. Since BKMP is not on the ownership chart, that would mean they don't have any claim to future profits in TFN anymore. Why would Sandy not mention the deal with Mayhem taking 100% control? BKMP is turning out to be a real shady company. We have been screwed big time people.
I was think the same thing, that the chart don't show that BKMP owns any part of TFN anymore. Did Sandy sell out the 17% interest to Mayhem and leave its shareholders in the cold?
Nearly all trades today have been at the Ask of .0002 held by one MM (NITE). I think once he's gone, the Ask will go to .0003.
I think it's about time for another PR. If the next update looks good, this stock will head up. In at .0002 and ready for the next run.