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SURVIVAL FO THE FITTEST, patienec is the name of teh game we are just 4 weeks into this rally.Dont forget the stock was just .001 4 weeks ago.
Many things positive have happened since than and i feel its holding strong at that level 0f .03 well by this time other pinks might have issued at least 4-5 PRs but as said this company is really focussed.
I have said before there will sure be a monster run coming
ON NO NEWS mark my word on no news.
This is how the MMs frustrate investors and shake weak hands i feel teh same is happeing here,this company is on to NYSE in the next coupke of months.
Now you have to decide whether you wish have a small cheque by making a day trade or a Fat cheque when we are on NYSE
BRICK wish you all the best personelly i feel here i am obsolutely disappointed i think the CEO gary spaniak is not teh right person to take this company forward,looks this is heading to sub penny.i am thinking of getting out here any way keep in touch
MOASS GUYS i have been keeping this on radar,fundamentally nothing strong in the company its purely i feel MOASS guys almost 60 Mio shares have been traded looks float has been obsorbed MMs look too short in this i will not be surprised to se this back to .05 but still not entered keeping this on RADAR
HISTORICALLY ON NO NEWS THIS STOCK HAS MOVED let me tell you this company has been very conservative in giving news as i have been in this stock for almost one and half year even when they got those old contracts they never announced in the press.
And i feel thats always better why should we expect all this just like other pump and dump penny stocks,see if the company fundamentally performs naturally the stock will move up.
But recently i have been seeing some change in the attitude of the management as they are giving more info to share holders which doubts me that really this company is planning some thing really big.
The stock is just under accumulation stage and will explode let me tell you ON ON NEWS
Thats how the MMs catch you by surprise next 2 week this will pop up only if some news comes up or else it would reamin flat but as said above this will explode past .10 on no news when the MMs see on level II when there are more shares to be grabbed and will take a pull back when a news is announces.BUY ON RUMOR SELL ON NEWS
Many talk here of dilution thats all peanuts these are all warrants offered to CFO for future conversion why do people here post nonsense why dont they study or at least ask before posting.
Let me tell you with insider holding and new investors coming in the float here will always remain tight.
ALSO LET ME TELL WHAT I PERSONELLY FEEL IS S STRON POSSIBILITY.
Imagine MDAS giving business to MCLN in the future when teh business grows as there are 33000 hospitls to be tapped and we are not just even .05% of that business.Will MDAS not think professionally instead of giving all the business to MCLN and giving all the profits to MCLN why not share the profits by taking a stake in MCLN say 25% holding imgaine price $1
Thats how multinational do business Big fish eats small fish
Cheers
HAS THE FLOAT GONE? freind correct me if i am wrong just doing some DD out here it looks masive dumping by the insiders was on or was it a short squeeze if i am not wrong the float on the pink shows aboev some 200 Mio shares while the trading in the last 2 days it self is around 450 mio shares which means has the float been obsorbed,if thats the case it mean some one has shorted and investors have them.
If thats the scenario i will closely watching this stock till thursday possibly MOASS
Lets see
ARE WE BEING DUMPED SLOWLY?
A CAR WHICH RUNS STEADY GIVEs MORE MILEAGE,friends slow and steady wins the race,this stock as said in no time will reach that .25 and many will be surprised.
All this consolidation ,accumulation and stong moves are virtually on just 2 Prs one of the financials which was almost 3 weeks back and the other on the investment of 7.5 Mio
Barring the above the company has not issued any PRs on move to higher stock exchnage,further major contracts,receiving teh first tranche of investment and at what price.
Any such major news will this the first resistance of .10.
many here post .044 or .05 is the first resistance which i feel is not when on major news when a stock makes a monster run it has to surpass the previous high made and it was .076 hence i feel the resistance is .10 soon we will be there
WHY THIS WILL EXPLODE TO .25.Many here post here some good analysis but most really do not understand the stock market games,i hve been here with 9.2 Mio shares with an average of .0039 could have sold at .07 and bought back at .035 but i did not do that and there are many reasons for that.
Firstly guys please note that the trading volume what we are seeing is not real,i have a personel feeling this is land of merceneries and not charity do you think MANATUCK who had invested at .025 will sell their stock ate .04 or .05 levels no way just imagine guys when we invest for few months we look for atleast 100% than do you thinl the guy who has invested three years back will sell for less profit.
I have a strong doubt that the on the REG SHO there is a sure nexus between MNATUCK and few big time MMs who have filled up their coffers and inventories with the MANATUCK shares now there should be some tacit understanding between them to pass on those shares to possible new investor which will again have the MMs short.
While doing the short selling the shares must have gone in some investors pockets and all this down trend in the stock is to shake and grab those weak hands.
Thats why i am saying guys that the shares here are very tight dont put your ask below .10.
as the date of covering comes near the MMs will be pissed with their head down in the back they will have no alternative than to hit the ask which will put this stock past .10.I am saying this theory just based oin the REG SHO.
Now consider other facts like PR on major contracts which i expect this week along with the disbursement of the first tranche of the investment by the new investor will send this stock past .25 watch out guys and just hold tight with patience you will be rewarded with handsome gains.
You are rigght you see with just over 4 Mio share traded on that one day run this hit .06,well we should wait for the next PR from teh company on the merger news loaw floater i feel with say volume of 10 Mi shares on that news this is a 10 baggeer from here
Hey brick i told you never go on that time line whcih the pink issue through PRs,first quarter 2010 means you could very well assume another 2 quarters more if at all they are successful in delievering.
Well as said with every PR we go down,do you feel are we being dumped?
EXPECT BIG NEWS in the coming week,MMs have played a nice role in bringing this down and trying to scare weak hand but cant do thatlong as buying pressure this week will be very big,i expect the company might announce some major cobntract this week along with the disbursement of the first tranche of investment from the new investor.
would be interesting to see at what price they pay to MCLN as its going to 135% premium to the market price whether they pay 135% premium to current .0335 or the average of the last 30 days which could be then .0425 that comes to than roughly .10
BID .50 ASK .70 SEE THAT
BRICK long on this,but have you noticed on every PR this stock goes down but i feel the bottom looks to be .03,our day will come when this will make a monster run straight to .25 only then this could catch the attention of other investors till that time TICK TOCK TICK TOCK
.08 possible Today,this is my personel opinion and DD which i have done based on the last three weeks trading pattern,i feel three times after hitting .04 .0439 and .044 yesterday the stock has retreated may be on the Level II the MMs might have not see more shares to be grabbed but yesterday's chart of hitting that .044 and going back in the red was a signal, which for most investors they would be on the back foot to sell today while i feel the MMs would be on front foot to make that monster run
Lets hope i am true cheers guys
NO GAPPING IS GOOD SIGN
READ my earlier posts i had mentioned if we break and close above .04 that would signal a monster run well i feel yesterdays close was no doubt green but i feel the MMs would try to consolidate here for some time before making a minster run but one should accumulate at the levels of .035 to .045 as this stock is not moving on any company PR its just moving on stock portal recommendations which i feel is not importanat.
Any infor from the company's new investors placing the first tranche of investment and at what price,or good news with some major contracts would only trigger that monster run i feel not now.Now CONSOLIDATION
TOO MUCH PATIENCE,guys i have been waiting with every PR this is going down whats your take on this
WHO SAYS DILUTION?Many here don not read the filings properly the filing made yesterday was a revamp of the O/s by post exeercising of the warrants of which many shares will be be cominng in the hands of the management.People who do not understand filings please do not spread this word.
The company is doing really great strides on many fronts.This is not like most pink pump and dumps just think if we were in other stocks those companies would have issued many PRs by this time for various things like DRTV TV campaign,some marketing some contracts just to dump the shares.But as said this company is purely focussed on admin and not on stock monitoring guys we are all in a very strong company.
As said the PPs in this range is just a swift possibl change of hands from MANATUCK to some new investor.
I was watching the whole day trading pattern yesterday.See yesterdays last 10 Min trades huge volume of selling ocurred at .0255 but in the last 2 miniutes the stock went from .0255 to .0274 with just trading of say 200000 shares could you believe that how tight the shares are.
that means the trades are only done in between the MMs they are borrowing shares amonngs them selves to fill up their inventories and craeting this fake downtrend than guys just imagine when they start covering for the real oh my god this will be past .12 withing no time we are still on REG SHO.
With nwe contracts to come in the company has almost 10 Mio plus cash in hand man could you believe even most stocks trading above 1$ on NASDAQ and NYSE dont have cash in hand.
We are in for a big ride guys just hold tight my limit of sale i have put at .4999 and will not change it till it hits that Cheers
why look at stock every day.guys breath out long will be rewarded,if you go on watching the stock every day whats the pre market whats the open whats the ask and bid you are making your self a day trader,cool out as said time will be a proof of what i have been saying..... on to NYSE
MONSTER RUN the stock made two small previous monster runs one from .001 to .007 and the other from .0293 to .076 bothe were done in pretty volumes of over 50 mi shares now the stock has stabilized on similar volumes,what i feel is that MANATUCK shares have just changed hands to a new investor which possibly might make a filing in the coming weeks.
With new investments coming in at a premium of 135% to the closing price on the day of the delivery of the 1st tranche of payment of the investment,when could that happen i have the following theory.
The stock still has very tight shares the volume which you have been watching lately are just as said above change of hands and i feel very little public float.three times the stock has tried it to go past .04 and retreated and thast teh guys sign of monster run just watch in the coming days if this goes past .04 i feel that particular day it will possibly have a monster run and if it makes the monster run as per tbe previous runs than it has to possibly close either above 83% or 311% up,if i take conservative 83# this should roughly close around say at .0595 that day.
Now imagine the next day the investors give the payment of the first tranche of investment that would be at the closing price .0595 135% premium which i feel would be somewhere around say .12.
Now another thibking is just imagine this PR comes out followed by a announcement of new contracts where this stock would be IMO past .20 so guys hold tight its coming
Relax today could be a bumper ride
http://www.socius-partners.com/engagements.htm guys open this link and think where we would be heading in future
Thoose scared leave,guys those who are posting that MANATUCK dumped shares might be legally right as per the posting but my gut feeling is its just change of hands.
This stock is completely going in the hands of the bulls the MMs are just playing their tricks to shake the tree and are grabbing shares People would be chasing this stock when it hits past .10.
Just show me guys on pinks where do investors put in 7.5 Mio USD investment when even blue chip companies find it difficult to raise funds.well just watch next weeks action
SURVIVAL OF THE FITTEST dont who feel that they want to make 100% everyday,sorry this stock is not for you gys friends like such should look for other stocks,we are longs these are big nerve plays if you hold long you win if you think of short term its your luck ups and downs
every one will remember my word long now with 9.2 mio shares just watch we talk after 4 weeks not every day possibly will talk to you when its .25
cool guys are we trading for a day or what patience will be rewarded as retirement money just hold tight and buy at dips
Guys stop those cheap habits like other pinkies counting .039 X .0391.After the next 2 10Qs are out possibly in six months time you will possibly count like this MCLN 1.10 X 1.15 Cheers
give them time guys the stock has moved from .001 to this level in just three weeks dont press these guys to issue PRs whic will land them into the pump and dump category they are in the right track.
Well in fact i also oppose all these analysts who take abd release such interviews just for the sake of increasing their customer base.
This company has a quite history of working silently on the side lines and as said i have not sold a single share even when it hit .076 watch out those guys will be chasng this stock once we hit .10.
Those who feel that the insiders are selling like manatuck partners,they don not have any knowledge of stock market manipulations i am ceratin the shares from manatuck have just changed hands to some one possibly close to them which i feel might make a new filing in teh coming weeks that i feel was on their part to shake the investors and grab the shares cheap.
Guys this is land of merceneries,no one does charity here do you think when they have invested at .025 levels three years back they will sell at these prices come on these guys will not sell less than.25
The investors lso know that this is a blue chip in the making or else why will they invest in a pink stock.
News on possible new contracts,going on to a premier stock exchange will send this stock into the new orbit
manatuck partners filing is just a change of tactics must have sold to some one closed to them i am sure they had invested at .025 4 years back will not sale at these peanut prices it might be a tactic by them just to scare investors for selling so that they grab more in coming weeks
thanks sterling my problem is i am too busy in some other assignments but you are doing a commendble job,i have not sold a single share and added on dips now currently golding more than 9.2 Mio shares at an average now of .0029.
Well no one here know whats going to happen but i have enough clues on the trading pattern just watch this pat shoot .10 within no time and consolidate there before making its march to .25 and then the R/s possibly i feel 1:5 once it reaches ,25 than to NYSE.
Just watch this the institutional holders here have definite plan which they had thought way back in Feb 2009.
People always get worried on dilution a company has to do it to get cheap money for expansions and what they are doing is nothing compared to dilutions made by regular pump and dumps.
This company is on solid fundamentals just imagine on conservative basis even orders for just 10% of the 33000 hospitals in next years to come.
.05 possible
relax guys .25 soon
RELAX,MMs in big problem?well guys i have a feeling that the MMs might be in big problem and it looks they might have borrowed shares to make the shorts yesterday,or else i feel there is no selling of warrants as most of you suggest as insider selling would have been reported on the pinks which is not the case.And why would these guys sell when they have subscribed to the warrants at .025 even 3 years back possibly,it was a big shake which the MMs ahve tried to do yesterday most who might have been pinched by entering at .07 level might be feeling bad but i feel there is no cause of panic as this will go past .10 soon the stock once starts moving on no news always catches the attention of SEC and FINRA which try to watch teh activities and thats the reason the MMs might have used it to bring it down yesterday to cool off.
There are many news to come up in the future and i feel the stock will boounce back more strongly today
bounce will be much stronger people will possibly get caught here in day shorting watch this bounce back past possibly .10 with double spped and bigger volume
.10 possible by lunch dont sell guys MMs are badly in need it looks that way they will try to shake
.10 we possibly shoot past it guys hold tight
NYSE advice friends you can see i make normally only one post a day over here if you see my last post i had predicaated very clearly this stock is immuned to market conditions and will possibly close at .04.I am possibly oldest investor over here with a very big holding averaging at .0029 well i have not sold a single share and have told you guys the first target i have is .25 and then $1 by next thanksgiving.
Now i would like to share some more info with you before that i would like to make you a small request,when a stock goes for a run there are actions and reactions during a reaction if the stock comes down please dont send emails to the company asking for the PRs that becomes like a pump and dump feeling like other pink stocks,and that also creates pressure on the management which than diverts their attention from basic administartion and running of the company the company has a very strong board and on the right track.
Now they definitely have a plan in mid its rare to find a 37% institutional holding in a OTCBB stock that speaks of the strength,when they have decided already to have a R/s i will go for that as once they are on the bigger stock exchange like NYSE that will attract bigger players.
Now just think this stock has moved to .04 on no news and i have been telling you guys this PPS is peanuts surely the MMs and the insiders know that something big which we do not know.Might be a huge contract with their partner which has presence in almost 3300 hospitals just imagine if onnly they get 10% of those 3300 hospitals,oh god with just 2 systems installed this company has become cash postive than imagine with those 10% business $1 guys.
Monday no matter even if the futures are down and the markets aare down i will not be surprised to see .08 as informed the shares are very tight here with almost close to 70% with the insiders and their associates.
Just have aa request if day traders want to get out let them put your sell orders above .25 the MMs are desperate for the shares when they see few shares are available there would be a big fight amongst themselves to grab what ever is the ask this it self will possibly ensure we shoot past .10 once it hits that it will catch the attention of many newbies and big ticket investors and more buying will come in,i am telling you all this presuming no news from the company and if any major news comes from the company my god we are into a new bull orbit past .20.
Well this is my personel opinion and i have been almost 100% right on all my previous posts just see my posts yesterady when every one was saying dubai crisis markets down i said we will shoot past .025 in 1st hrs and than possibly close at .04.
Hence i feel while most will think of selling on onday shrewd guys will go on buying those weak hands and we close past .10 possibly on Monday cheers guys
guys read my post earlier realx this stock is to hit .05 possibly today
Green day,as said this stock has moved on no news there is definitely something which the MMs and insiders know which we are not aware since the shares are tight and accumulation has been going on almost every day i feel the markets going down will not have any effect on this in fact the big ticket guys who are cornering the shares will use this opportunity to buy more shares.
we will shoot past .026 possibly within the first hr
GAP UP .026?heavy short covering will take place possibly today which might see possibly the share opening up with a gap of .026 the stock is immuned to the market conditions as i feel the shares are tight and MMs are trying to cover their positions we might hit possibly .04 .
.04 tomorrow possible