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SHAMEFUL PUMPERS WHERE ARE YOU? i was telling all these guys to contact the IR guy andrew,but fools egoistic guys had no studies what so ever on capital market,and i was trying to prevent newbies getting trapped but you know many time you get paid pumpers on such boards they get paid 12$/hr and their job is to just spread BS news.
20 times dilution from the original size of 26 mio shares now to more than 500 mio shares soon it will be 5 bi shares and then the R/s
LAST 3 MONTHS RANGE .008 TO .018,its time what i have been telling guys without revenues do you think the stock will move up obsolutely not,whether you make a biomed release,goldman(not the real)report or a advertisement on the web,people are aware these are all attempts by most companies for dumping.
What we need is revenues,since 2 years the 10Q has been mentioning the backlog of contracts its time they come out clean on that,or else on every PR the MMs will first make a artificial jack up to create new buying interest and at teh end of session dump the stock this is what precisely has happened in last 3 months 3 PRs
MY BIGGEST WORRY ON EMAJI guys the only worry i have about this stock is the contact man given at the end of the last PR
CONTACT: Emaji, Inc.
Jonathon Russo
518-641-1333
Now if you google this name you will find this guy possibly linked to Camelot entertainment corp,if he is teh same jonathon russo
Than camelot which was CMGR before made a R/s 1:1000 now CMGRD is what could call surely a SCAM
I am trying to reach the no given above you also please try and if you are able to reach him we need to just ask him if he is teh same than if thats true than god save us?
PUMPERS HAVE NO FACE TO SHOW I WAS RIGHT watch the dilution to possibly 5 bio shares
FILINGS amendments,prospectus,form 4, 8k,10Q,13D,amendments,beneficial ownenership,change in beneficial ownership,again 10Q,8k followed by every month a partnership with vendor
This has been happening for the past 2 years
LAKY WHERE ARE THE CONTRACTS MENTIONED IN THE BACKLOG 2 YEARS BACK
IMAGINE CAVEAT EMPTOR OUT,CURRENT ON PINK SHEETS and when the news of new acquistions and plans hits the market,with such toght float i will not be surprised if this hits .05
MMs WILL GET TRAPPED thats my personel feeling the way new MMs are getting lined up that means there might be some inside info known to these guys which we are not aware of,thats why i could see frantic effort by ETMM and NITE on friday to hammer it down but the moment AUTO STXG started bidding up .0111 NITE and ETMM upticked their bids to .0116 while they still sat on teh ask of .014 that show these guys desperately need shares now this could be possibly their LAST ATTEMPT to hold the stock down
LEVEL II MM GAMES STRONG UPWARD SENTIMENT NEXT WEEK
DOMS 0.015 5,000
NITE 0.015 5,000
ETMM 0.015 5,000
The ask was as above on level II just before the close after which its straight .021 which the MMs removed and brought back STXG MM at .0235 that means its very clear MMs are in for a big game here normally its NITE and ETMM which play the games now when AUTO DOMS and STXG have come in play i expect a big upward movement in the next week
CONSTRUCTIVE AND GARBAGE well what i have been posting here if you dont like than put me on ignore,but some one has to take the call i just cant see share holder wealth erosion and sick of guys here in fact psoting garbage,i dont care if he is a moderator who has just come almost 12 months after my posting started on here.
Go and learn on other boards investors have come toghether to take on the management in many muliple penny stocks,and learn the investor protection rights on the SEC websites and see how many lawsuits have been filed for the same.
I cant go on teaching all the time.You guys agrre on what salex conx say or other say have your own self consious and study why the stock is not going up if you dont have guts to ask LAKY where the hell the 35 contracts have gone posted in the 10Q 18 months back but i do have and i have asked them but such questions which create doubt these guys dont answer.Now its you call guys
TRUTH IS ALWAYS BITTER,but one has to take the pill,i have just tried to raise a debate may be you all will remember my words later after this quarter results and the 10Q
BANKSHOT yes i have posted this before that brown family hold the possible trump card here,but i personelly forsee a booking market for such radios in the future.
Another thing you might have noticed in the trading pattern i was watching this for teh past 2 months,for three times the MMs played on small volume and on every time just on a small volume of say few hundred dollars they tried to buy what ever was available till .002 and then the next day they again use to bring teh ask to say .008.
This happeed three time it means the they know something is cooikig up and hence are buying i will not be surprise fourth time this explodes past .02 as the shares are are very thin
READ MY POST CAREFULLY NO BUYERS well guys i have been saying repeatedly why is this stock not able to move up,just look at last 2 days on tuesday we had volume of almost 3 mio shares on tuesday and yesterday just very few why was that,on tuesday we had that PR for ACE and hence MMs had to opportunity tas buyers were there based on PR and hence dumped the shares.
now look in the last six months why is this stock not moving beoynd even .018 inspite of we having 6 partnerships and 1 contract that means almost 7 PRs
Now look at the historical track record of the stock for the past 6 months on the day we have a PR there naturall is large volume and the MMs show it as buying but thats how the MMs play the trick some one buys and some one sells means they are actually dumping shares on every PR,now look at the day next to teh PR we have similar situation like yesterday.
That means i ahve been raising this concern the MMs are selling on PRs and i have been telling you this stovck will not go on partnershp PRs but only on contract revenues or else soon this will be a PUMP AND DUMP.
That guy L-A-K-Y i seriously doubt has been moving in tandem with manatuck and creating such PRs which has no relevance unless it generates contracts and the shares are being diluted almost to now 100% more than what were 6 months back.
Many Idiots here have no knowledge of what they are posting are quoting teh 9-12 months cycle,i really miss the old guys 18 months back sterve and we were really raising the right concerns,now when they say cycle for the last 2 years 10Q just open your eyes and read all those pending 35 contracts which they have mentioned in the back log as orders WHERE ARE THEY?
surely MMs would not wait 2 years to do those shakes or lese this stock would have been past .10 by now,it means thys know that by now this stock is going into the pump and dump category as the PRs are just coming on partnerships
I will not be surprised in the coming quarter we might get a big setback and the stock might move back to .005 levels.
Its time i have been saying i have nothing personel against LAKY but can site you too many examples where one man's greed has ruined the company and its share holders
YOU ARE RIGHT LASER it very clear even i feel the MMs are getting tired in this stock,its also very clear the company has no focus and just pulling on .i would not be suprised if they go BK
EXPECTING NEWS SOON?
PREPARING DUMPING GROUNDS I HAVE BEEN SAYING THIS WE NEED TO SEE THE RESULTS OF THE PREVIOUS PARTNERSHIPS.
well partnerships will go on and on 2000,5000 10000 hospitals whats the use if they are not been able to convert atleast one of them into revenue many useless posters here count the 9-12 months cycle i have been saying MDAS has been with them for 2 yeasr and now the first five partnerships almot 8 months now where are the contracts,this looks like what i have repeatedly saying every month one PR on new partneships and the MMs use this opportunity to just jack teh stock a little bit and then dump shares.
I am not happy theway LAKY has been running this company watch for the down trend now.
Well i am long but many here have just come as day traders hopeing if they buy at that .01 levels the stock might jump on news and they might get out at .02 to make 100%
But all of us will be proved wrong this stock has not been able to touch that ,02 levels for 6 months now.Think of that Guys?
THIS WEEK MIGHT BRING CHEERS if LAKY gets 10% of his previous statements on target,i have been saying guys you all should write to the chairman to replace LAKY in the best interest of all share holders
I ADMIRE pack you and dannol but lets not forget the pink philosophy 8 months time is in many case not given in multinationals if the candidate is not performance based,i have made this post with lot of study i have nothing personel against LAKY,but i have something in my mind and to my knowledge which i will not post on this board may be you will remember my words in the next 2 quarters.
Fir me i have little risk of losing much at average price of .0043 but there are others who are their above .03 i am raising my concerns for all these guys,You know even if scott is experienced that does not mean he might not make mistakes in selecting candidates i am 100% sure that the dumping is on with his possible knowledge.
But frankly you all have been good posters even Dannol has really done a good job but as said we need to be constructive in raising debate and our concerns and i feel i might be proved right soon
GET OUT LAKY- MY FRIEND DANNOL 48 well dannol while i appreciate you have been doing a commendable job but as a friend let me advise you as i have been in stock market for teh past 22 years now,just following short reports will never help a stock recover.you have to note why the people are shorting as they too are knowledgeble guys unless they get teh investory of shares to short they will not risk doing that and further when they know the stock may not perfoem well in the near future on fundamentals thet start shorting as they know they will be able to cover up later at lower prices and make profits.
Now just lets have a look at the fundamentals,coming august i will be finishing my 2 yeasr holding in this stock with 11.18 million shares at an average now of .0043 many might think i might be a fool as to why i did notsell when this went upto .076 and i feel they might be right i might not be a shrewd trader but i had my experience in similar stocks and thought of holding it expecting a bounce back on fyndamentals,now just look at the history of this stock it went to .076 with obsolute no fundamentals that means was it rigged up for dumping i feel yes now and there are reasons to believe that the biomed reports,goldman(not goldman sachs) and other pumping PRs came at lightening speed and investors crazily bought this i also get a feeling that the socious PR also was cooked up and i feel all this done possibly by LAKY.
Let me be clear i am still hoping for this to boince back but not untill LAKY is in there i am just hoping because of the rest of the board members who have a strong track record.Well i fail to understand why you guys are not taking the call on LAKY seriously.
Just think of this 6 PRs of new partnerships almost one each month and the stock has been going down from .03 to .01 now what does that tell,thats clearly dumping well many might say i had target of 1.25 USD what happened to that well i had my own study to back that but not untill crooks like will lead the team here,Just look at 6 partnerships in last 6 months and just one contract and many fools here think its a 9-12 months cycle idiots dont know i have been watching this stock for 2 years now and they had teh MDAS partnership 2 years back so where are the revenues for that old cycle if the revenues showed last year are then from MDAS then these idiots are just greedy day traders dont know the stock market.
let me tell them what MDAS is worth atleast more than 100000 customers,even if they spit 1% of that that means 1000 customers,even if they spit say .01% customers thats 100 so where does MCLN stands in MDAS caledar now it seems 0
Well many will see why i am posting such negative remarks stock market message borads are about constructive debating and i am just raising my concerns as i have seen many such plays where in i have seen one single man who leads the organisation could ruin the company and the share holders,i could just give you the example of Electroglas i was holding this stock in year 2000 when it was 43$ i bought at 22$ on dips and later sold at 34$ when it rose.
That time this company was doing great but suddenly a marketing guy was made the CEO and he just went on spending teh money lavishly the company last year went into BK and now it quotes .002.
Well longs here should all i feel write to grissanti and the board memebrs of MCLN that LAKY might ruin this whole company and if they don't take a call god save all of us.
I for myb personel sake will watch for next 4 weeks and if things dont improve will sell alll my stock at best price and leave this stock for ever.
But Dannol48 you have been a good moderator all alonng and so are many here it would have been good to be here for long but this man LAKY oh?
BUY THOSE CHEAPIES BEFORE THE NEWS IS OUT
THESE GUYS SHOULD BE INVESTIGATED AND IF FOUND GUILTY FOR FINANCIAL IRREGULARITIES SHOULD BE JAILED
IS THIS EVER GOING TO MOVE UP?
LAKY SHOW RESULTS FROM FIRST 5 PARTNERSHIPS just one contract with barnett,in the last 2 quarters,i feel the pace has been so slow that we could see the stock has consistently gone down that means investors should not feel that periodic PRs are they for dumping?I dont feel so but already the stock is out of investors radar and further PRs like this will create doubt instead they should show some results out of first few partnerships
LAKY SHOULD BE OUT have said this before,if this company has to progress he is teh odd man out there
JUST ASK THE IR GUY andrew@barwicki.com
AFTER .014 THE ASK IS .021, now thats nothing new in this counter i have been wching this for months now the same situation,but that only tells one thing that not many investors are selling this stock,so its a wait watch situation between MMs and investors i feel at the end the investors would win only if the news starts coming thick and fast,but this GUY LAKY what can i say
LAKY NOT COMPETENT have been telling this for months now,the only hurdle for the growth of this stock,i hope SCOTT GRISANTI tkes note of that,this is my personel opinion,we dont need just SEC filings on time as there are tons out there quotinng at .0001 doing the same,we need growth in order book position which Laky has been not able to deliver,just signing of partenrs will not suffice delievery is more important
DID YOU NOTICE .0024 just one trade for 47000 shares the stock went to .0024 the MMs brough this back to .0018 that shows how tight the shares here are.
Once the PR starts coming in this will be .10,many would laugh but i feel thats where this is going to be
AM BUYING MORE TODAY TILL .0022
DILUTION MOVING TO O/S 1 BIO that certainly was i personally feel not a good move by MCLN well when socious was willing to pay 135% premium to the average stock price for raising that 7.5 mio as per their last PR why did Laky close that deal instead of trying to get this 15 mio from southbridge.
Surely something fishy i feel, i have been telling Laky is a marketing man and not a man to lead teh company there is a strong doubt that he is moving with teh speculators,if MCLN goes down the drain i feel this man will be the main culprit.I have said this before that the rest of the management team CV is very strong and they should give a look at Laky's job once again before things get out of hand any way as per the new prospectus the O/s might increase to 880 mio shares which means we are moving to almost a 1 bio shares soon NOT A GOOD SIGN AT ALL
with six parteners why not get new contratcs to generate revenues rather than think of raising debt all the time,look at vestara and verder we are almost 12 weeks sinced we have signed with them did they not bring a revenue of single dollar,well think of it guys LAKY is at fault in leading the company
WELL BETTER ASK THE IR GUY TO CONFIRM THE O/S
O/s 400 MIO SHARES ASK andrew@barwicki.com their IR man why trust paid pumpers here,well it pains to say as i am also in at .0016 but will not be a fool to average down as i can know this is headed down to .0001,have already written off teh investments.Newbies first ask the IR in O/s see the entire float traded and think we are expecting more dilution and then a R/S thats how these guys dump
BREAKOUT SOON
VEGAS will open new doors for MCLN,note that we are still at teh budding stage and while comparing with MDAS stericycle and others we need to be careful as these guys have taken years to built up.Well i personally feel that MCLN has been taking the right steps in marketing we have just realised barnett and we are aware that other 5 partners were roped in just 2 quarter back and it takes time to strike deal as we are just coming put of recession i am of teh opinon either of these rst 5 partners will soon yield good results.MCLN is a long term horse.
NEVER MIND ETMM AND NITE i am aware you are in control but how long?soon you will have to loose
THIS TODAY'S NEWS IS GOOD
I EXPECT MORE CONTRACT NEWS COMING WEEK[/b]?
SURVIVAL OF THE FITTEST those who survive the turbulance always win i am holding
DILUTION AND DUMPING LOOKING TOTAL CRAP
ETMM & NITE have played with our sentiments for too long lets all try to catch them there is a saying ocean bulds drop by drop,lets all do our little bit lets all try to slap that ask today just by buying 100000 shares and try to catch them on wrong foot i will do mine with 100000 shares today,if we all unite these guys can't hold for too long
DONT REPLY TO MY POSTS i dont intereact with idiots who have no knowledge of stock markets trading
MMs INVENTORY MIGHT BE SHORT surely the trade of .01 indicates the MMs are short in this and they are scared more than investors ETMM and NITE have their task cut out to control the bid below ,018 but will have their pants down when a maor news breaks out that too SOON