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Except they are still pumping by over promising and under delivering. That is pumping and it has consistently killed the pps. He had a chance this time to correct his past mistakes. But what does he do? He does it again. The best thing he can do now is shut the heck up and just let the numbers be what they are. The problem though, is he has already forcast the $100 million for the year and looks like he will miss like he has always done. Unless he posts blow out numbers for the next quarter, we are done for the year.
Stupid is as stupid does.
No it's not. Just look at his record. Always over promising and never delivering. Instead of beating the high end of revenue he did even beat the low end and actually missed. Why do you think the pps has tanked again where it will remain for a long time. Future may be good, but that may be a long time in the future.
Typical Andy, over promise and under deliver. Missed revenue, again.
Maybe, but it hasn't been good for the pps. And as far as Andy's track record, it follows from everything he has done. I personally think it is clumsy of him, as usual.
As usual, Andy killed the rise we saw on Monday by not having that pr released until after the ER. I know, I know, maybe that's the way the contract went, but come on, if we are going to have good numbers, he should have made that contract date after the ER. The guy has been a human wrecking ball for this stock.
Don't know about anyone else, but Wrinkles is not a short.
Yippee. Can I get a Yeehaa here?
That's a lot of stock to potentially hit the market. Does anyone know if there is a lockup period before they can sell? I wish they had waited for the pps to increase to do this, if they could have.
Then Andy should have waited till the deal was actually signed before issuing a pr. Now the stock is getting hit and if the deal falls through, bottoms up. This guy can never do anything right.
I think Andy blew it yet again. He should have postponed buying that company until the pps is higher. Maybe like after August 6, unless of course we are missing again.
My first thought was that they were setting this stock up for a really big quarter and then dilute to help pay for this purchase. Oh well, in the long run, it will be very good for us, just gonna take a little bit longer.
Assnap, I just received an email from Andy. He said to tell you that the revenue will be well over $200 million. He wants you to post that on the various boards you visit. But he said to make sure you post in CAPS so everyone will get it.
It's because Andy has poisoned the well too many times. Nobody trusts the hype anymore. They need to meet or beat this time or we are really dead.
The point I was trying to make, was that Andy needs to beat expectations, not miss. For a change.
That's Andys problem. He doesn't know how to manipulate the pps. If he was smart about it, he would not say anything about meeting or beating that 100 million figure. If it was me I would have lowered expectations in the beginning of the year and then beat those figures later by a large margin. And then after I beat those figures the next day annouce HD followed the next day by Nike. That would really force the shorts to cover and would creat a stampede of new gamblers, er, investors.
Let's see, the market goes up, we go down. The market goes down, we go down. I think there is a pattern there.
Every time you say you are buying at these low prices, it goes down further. I think they are stealing from you.
Seems like you have been loading all the way down from the teens. Me thinks maybe you should stop loading.
This doesn't look that good for tommorrow. We will probably go up with some annoucement, but I don't think it will rocket. I think if there was something big coming, someone would know and be buying. That doesn't look to be the case. Too bad. Andy has dug us such a big hole, it will take a lot to get us moving again. I
I can't, I already sold them a few months ago. Now what do I do?
I wish companies would not do this. Putting a nice pr before opening only causes the pps to open above the previous closing, thereby causing a fill the gap problem. Which has happened the last few times. If they could, I would post the pr right after opening, say around 9:30 a.m. But what do I know anyway.
Looks like somebody sold over 14,000 shares of your favorite puppy which just happens to be the total volume today. Whew, that baby is a rocket.
How can you be so wrong and cruel. That stock averages about 40,000 volume a day. It's explosive. Better get in before it's runs to .021.
I don't think so since there now options expiring every firday. And if options expiration was so important then why is Nexflix up so much today? We are just in a holding pattern mostly caused by the ineptness of our CEO.
For what it's worth,, here is what I think could be in play.
I think the HD pr is coming soon. With the cc yesterday and the slip of the tongue, among other things, shorts are now, finally going to cover.
SOOOooo, DO NOT SELL. Hold your shares tight, squeeze the availability of shares to be bought. Let panic ensue so them.
It could happen, hopefully. I am not a very violent person, but I hope we slaughter the shorts. Make em suffer real pain. Especially those that might be trying to kill the company.
Let me hear a YEEHA!
Well pleasantly surprised. After seeing the pre-market, I assumed that the stock would tank dramtically, especially after Andy spoke. This must be the first time since I've been a gambler in Plug, that the stock pps went up AFTER Andy spoke.
Mayber there's hope still.
I hope I am wrong, but I don't see good things for Monday. If there was going to be a good quarter one would think someone would know beforehand and the pps would be increasing. Just the opposite is happening.
Just noticed the date of the quarter results. On a MONDAY. That is normally the best time to bring out good news. Gives the market the whole week to digest and hopefully buy. Maybe things are starting to look up, finally. Only other good news would be that Andy will not be speaking.
Did they increase their sales to Plug by 29% or did Ballard have an overall increase in revenue that included Plug. Two different things.
Except in this case it was a sell (buy) at the bid, which makes all the difference in the world.
That was a large sell that just went through, 210,000.
I didn't notice that he was an administrator. How is that? With all of the bashing he does on this stock, does he even own any? And if not, shouldn't you own some to be an administrator? I don't mind him bashing the stock, but it seems like the fox has gotten keys to the chicken den.
What's up with the spike?
I do and I'm Buying STEV all day! JD., you the man. George and Ken are thrilled about you buying up all of the warrants and dilution, cause nobody else in their right mind would be.
You know what I remember? That every time you start your endless pumping, the stock pps goes down. I think you are being paid by the shorters to post here. Let's try an experiment. You stop posting for awhile and let's see what the pps does.
Eco dude, how is the volume over there? Sounds good, but apparently only you and a few others thing it's going to happen anytime soon.
You're right the O/S, thank you. It looks like they are slowly diluting. Probably would dilute more but the volume is too low. They need to get the pps up a lot higher before they keep dumping. It's just destroying the momemtum here.
When you spoke with him, did you ask about the current A/S?
Minster no! What are you doing? Are you buying the dilution? Maybe you haven't been out for awhile. It's just picked up. Go get wet and clear your head first.
You're right, it did go up from a prior 202,000,000 to now 203,000,000. Seems like they are slowly diluting, probably because if they do it too fast, the pps will collapse. Doing it this way, they can get suckers to buy and keep it around .08.
You buy any since it was 202,000,000?