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BTEM: Looks like a bouncer from here ?
Grabed a few just for fun. Looks like it has bounced from here a number of times before.
RSDS: 504 is ending June1.. so should see some movement after that I hope.. Accumulation for now..
PMCL: Picked up a few more at .03. not to many, but a few just in case. I am thinking I want to have some cash ready to buy AFTER the name and CUSIP change. That way my shares will be free to trade, not be locked up due to the setteling period required by the broker. If ya cant sell them, doesnt matter how high it goes. IMO..
Oh.. Ok, I thought you were saying I shouldnt have sold..
I got lucky. In the past I have had a tendency to hold and not pull the trigger on profits because I have listened to the RA RA RA on the pump board. IT has cost me thousands. I had PMCL at a ave of .016 in the first run and never sold any shares when we were in the .05s DUMB. I new better, but was looking for more and listening to the RA-RA-RA of the PMCL'ers. This time I almost held again, but then I saw the move was to far to fast. So I gritted my teeth and sold.
I must thank you for the lesson on finding the tops and bottoms. I think that was the one piece of the puzzle I was missing. I hope.. heheh..
Anyway.. sorry for the misunderstanding.. YOu have a great board here. Thanks for keeping it going.
Not getting your point. I agree, that is why I sold on the day we hit .049..Big volume, lots of volitility, then I waited for the pull back and reloaded in the low .02's.. I's say I played it about perfect. In fact of you look at the tape, that .0235 low was mine.
I agree we will go Higher, but I am not going to watch a 15k profit go down the tubes on a pull back.. May be small potatos to you, but 15k to me is nothing to sneeze at. I saw the price rise to far to fast, and I knew it was going to pull back. So I sold into the run to .049, then reloaded from the lemmings getting scared out on the normal pull back.
Hmmm..sill looking for one more dip.. Almost bought some more today, but seemes like she still may dip. volume to day was less then yesterday, so its not like people were flooding back in.
same here.. picked up a few mil at .001.
Yea. same here. I figured the .025 would get filled, but not the .0235.. Not today anyway. Which is what happened, But I also see that Gap at .021, to I am thinking they may try to fill that, and I think a lot of others are seeing it as well, and waiting to see if it will fill. then we move I think.. Just my dumb opinion though.. lol but looking to jump on it if it gets down there.
Same here, I know something, but I think in many cases it is best not to. seems to cloud your judgement sometimes when holding or selling.. LOL.
I had some orders in at the beginning of they day, 200k at .025 and 250K at .0235. Filled the .025. but only got 100k of the .0235 but hey it was the low of the day, cant beat that.. Now just hope I still want them tomorrow.. LOL. I liked them today.
Im looking at that gap around .021..I think we will fill that first. but ya never know..
LOl.. yea.. but you didnt lose anything did you ? I thought you dipped into the wifes funds when were were in the low .01's..LOL. so she should still be up..
I got 100K at .0235 only partial fill but something..
No. what I mean is.. if you hold PMCL through the name an cusip change, then new shares are deposited into your account to replace the old ones . I heard you cant trade those for the 3 day period. Thus if there is a run, you may not be able to sell for an profit if it comes back down before the 3 day period. Where as if you wait and by the shares of the new symbol, then you can trade as usuall.
Just what I heard.. So am thinking of waiting now until the Name and CUSIP change occurs. I am thinking others may do the same, thus we may see some more down side action..
Was thinking this would pop above .05 today.. so I was waiting there with some sells ended up get out around .043 Oh well. I am looking to reenter in the low .02's I think this should sell off a bit more. My other concern is being in when the name change occurs.. I know the stock may run, but I have also heard that you cant trade for 3 days if you own the stock. The transfer has to settle.. I am concerend that if there is a run, those holding may not be able to take profits.. IMO..
GLTY.. Amy opinions on this ??
Same here Coy, but I am looking for a retest of that .05 mark..day is still young.. She seems a bit toppy though..
I agree.. seemed like we were at the bottom around .025, then they BS on the new A/S came out and every one ran scared..This little delay here seems like the point were those who grabed some in the low .01's are flipping out and some are bailing even.. but also we are building a new base.
volume seem very good.. should do better than yesterday.. good sign ?? I usually look for a drop off in volume to signal a change in direction.
Today?? Or next week.. lol seems like a little much for today..
I dont think they have been incorperated yet.. or what they do over there..
They PR'ed they expect that the new stock will trade at .25 euro or .33 USD (at todays conversion rate) What they Expect and what is reality is yet to be seen, but yes. Based on that assumption your math is correct.
In reality, the only thing we can really say is, after the splits and divy's you will have 160,000 shares of the new PMCL, and 53,333 shares of the new European distribution company. What that will be worth at that time is what ever you can sell them for :)
That or they are hiding the buys again.. will show up after hours
Exactly, has to be phaontom shares if the share structure from the company states 12 mil float. Current float = 12 mil + what ever phantom or naked short shares that are out there.. By the way this trades, it has to be above 12 mil.. more like 40 to 50 mil. The bigger the better if they have to cover.. IMO, then we get the real run..
Why does it seem fishy. RCBM has been selling shares whether real or phantom for weeks.. If he was selling,then some one was buying. Those who bought in the low .012, .011 are now selling for a nice gain to those who think it will go higher.
You are confusing the share structure float with what has been sold. The company says there are 12 mill in the float but if MM have been naked shorting, that adds to the float. so the current float is 12 mil + what ever has been naked shorted. Could be 20, 30, 40 mill.. who knows. The hope here is that eventually, thoses naked shorts will have to be coverd so that the actual float is back to 12 mill, that is when this will run big.
It wasnt Hasher5, it was slick...
OH, sorry, I was wanting to know what you thought his agenda was.. Seems to be very vocal on the subject. I did shut him up yesterday on his board though.. LOL..after he was showing his chart and the down trend, then I pointed out the CMF was going positive for the last week or so..LOL>.
take care..
you need to update your charg CMF has been going positive.
I see a low of a penny, not .005.
Sorry, I dont have time to play with you today, or maybe your serious, check the DD on PMCL if you are. (Serious that is)
If your just playing with me, then we will leave it at that.
But the last time I checked there is huge money to be made in Natural supliments and vitamins and such..
Later..
Ok so your issue is with the value of the divy, not the actual divy.. Here is were the issues lie in my mind as well. But the problem here is we dont know the value. Stock was at $2.00 a share, as well you know and have heard over and over I'm sure. As have I, my point being, there could be some value here right ? If the company is not lying, then this has some legs..
Isnt that what a divy is ??
Not saying its going to happen or be worth anything, but If this euorpean division they are starting has a value, and they divy out some shares, then yes they have value and you get mony for nothing other than owning shares of the parent company.. whats the big deal. If you own shares of Microsoft, and they pay a divy, then you get money for nothing right ??? What am I missing here.
Natural Medicines AG is the name of the new European company they are starting..Natural medications Inc is going to be the new PMCL here in the US
It makes no sense if you think we are going to rebound, but if this is going subpenny first.. then it makes sense.. LOL
Oh well. One can only take so much pain before you cave in..
Just have to wonder wtf is going on with this.. I'm not going anywere but I'm squirming.. :)
Yes. we do, but dont do surveys.. I dont think you want the MM's to know what we have.. Right ?? maybe doesn't matter. but the less they know about what we have the better.
Probably some on throwing out a market sell of around 500k.??
Looks like it hit a few .012's then the .0115, then .011 then .01 for the big fill. Looks like the MM's backed off once they saw it our there.. Normal tricks. Thats why you NEVER market sell on low volume with a large position.. You get killed .. Been there done that LOL..
I'm with ya Coy.. in big here.. reminds me of a line from Ocean's 11 movie. Dont remeber it verbatem, but something to the effect that the house always wins, unless you go in big on that one perfect hand. Hopeing this is that perfect hand. From everything I can find, it should be.. but man it is making me squirm.. :)
Oh, and yea.. already robbed wifes account as well.. God save us all :)
LOL.. No I dont..I suggested it for you to substitute so you could understand what it was saying.. I and most others here dont seem to have a problem with the word while and its meaing and use in the english language. I suggested the word and because it was a bit more remedial.
They dont have anyting to do with each other..
Change while to and. Does that clear it up ?
Pharm Control Ltd. is still in the process of completing its change of transfer agents while awaiting the approval of the new stock symbol by the NASD.
Vague PR ?? What is Vague about it.. Or may I ask how you would have worded it so that it met your approval as not being Vague.
Here is the pr from Friday. :
Pharm Control Shareholder Update
The Board of Directors of Pharm Control Ltd. (PINKSHEETS: PMCL) is proud to announce that they have decided to reward patient shareholders with a forward stock split whereby shareholders of record on June 29, 2007 will receive eight (8) new shares for every five (5) shares they hold.
The company intends to proceed with the previously announced stock spin-off of the European distribution company after this dividend is completed.
Pharm Control Ltd. is still in the process of completing its change of transfer agents while awaiting the approval of the new stock symbol by the NASD.
What?? Your nuts. We just had a PR on Friday, and we learned the name change was delayed due to requirments of Nasdaq.. LOL..nice try.. Kron has kept his word on every thing up to this point.
Ah.. ok..
I thought there was a flag on PMCL which ment no more shorting.. Or thats what you mentioned yesterday? I know they can short. but thought is was stoped on PMCL>.
Hmm.. been trading a few years now.. and always amazes me how much I dont know, but I dont get it..
If there is more buying the selling, then how can the keep a cap on it.. They only way is to short. If they dont have the stock to sell. Also, how can they load the boat if all they can do is sell to hold the price down. Seems to me the only way to get people to sell is to let it run up a bit, then start to short a bit, then drop the price again to scare people into selling.. seem like to me RCBM is just digging a bigger and bigger hole.