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From my knowledge same rules applied last year and the filled on the 23rd with no E applied to their stock symbol!
Late filling is on the 23rd - like Bloomburg states and like they filed last year.
The good news is that you will be able to buy more shares at a really low price! lol - I really hope thats not the case!
That was an ok movie, if your into the 80's stuff! :)~
It told me to ask again later!
You might! Things have posted via Edgar after the 5:30 time frame!
- Statement of Changes in Beneficial Ownership (4)
Date : 04/30/2012 @ 8:50PM
Actually all of those reads where people checking up to see what Codie had to say today! LOL
Same here I had some positions setup for around .0157ish - Never happend for me! But hey it's green!
Cheers!
Happy~Happy~Joy~Joy!
MSLP
I was just trying to lock my milly in today and played it wrong, as I am still about a 100k from the mark.
Yeah that's what I was kind of thinking! ;)
There has got to be some kind of information coming out, this thing just doesn't do this at a whim. IMO
I just picked up some more! Positive!
The one that got away :(
I am a stock nerd and I find The Colonel hot! Wink Wink! LOL
Go MSLP
Hooray! I am now a paid subscriber! LOL
Well that's always a tricky question! I am long and it's not because I really have to be, but it's because I see this playing out of the penny stock plays, which I am happy about. Looking at the chart and figuring that the PPS keeps dropping, I am not sure when the time is. However I have added to my position over the corse of the last couple of days and will continue but still have some monies for after the Q1 just incase things go south into the the sub penny range, which I really don't want as it is a really big negative signal to me. IMO
Last year I believe they reported it on the 23rd and it was due on the 15th.
You might be correct but you also might want to think of it this way, even if they break even the EPS currently at -.08 should raise thus the PPS will hopefully do the same. IMO I am really not to concerned about it, however I do know history tends to repeat itself - but I am betting against history!
I would actually bet on it, that it will hit .0148 tomorrow and it will keep getting manipulated until they are done getting their shares (MSLP and the MM's). IMO By the time they distribute Q1 results I could see the PPS to be around .0125ish
They should be able to write-off their advertising costs.
But no shorts! :( LOL
So why did they pull their fight shorts from their store? I was just going to buy a pair :) Any clues how to pickup a pair?
Hey hold your horses spanky the days not over yet - POSITIVE!
What are we waiting for?
LOL
Really? Give it about 30-60 days after the Q1 dip!
WWKS - POSITIVE!!!
Sh!t it doesn't matter to me as I am still taking it. Btw... I never looked for any of those things when I buy product I do my own DD - actually I never knew they existed! But then again I am not an hardcore athlete.
Got to love the pre-banter blood bath, after tomorrow it will be interesting to see who will still around!
Armor V just has the "Banned-Substance Free Certifications" with the NSF and Informed Choice logo next to it.
Yeah I wouldn't be surprised if they did!
Chirp Chirp
Hey Mike what was in that post that is got deleted so fast?
Hey Euc/Evan is Vinnie = savageinlimbo? His sentence structure and vocabulary kinda matches his. And btw... what did you figure out about what you now understand?
Yes I agree! Like you said -
Hey dak I totally agree! So here is some of my DD on this stock and maybe you / other board members can help me shed more light my post. I am long and looking to extend my position but the question is when - before or after the Q1 release?
So they state in the last 10k that cost of sales is ruffly around 75%. Now granted with the influx of volume I hope this number is less, however 4M of the sales were overseas and if the manufacturing is in the US it does cost some money to ship plus depending on the geographical location of the sales this could either increase or decrease overall profit.
The Q1 sales are 19M and general expenses are 5M, so that leaves them with about 14M with out costs factored in and if costs were around say 14M that leaves them with maybe 1M. But there was a backlog of 4.3M in product, they state it was because of demand, but could it be they were short in money for the supply and demand?
Other things that make me question if this quarter is going to be good or have any surprises in it, like diluting.
- Purchasing stock back with their own money, generally small buys but buys none the less! Could this be smoke and mirrors or do they really believe? And at the current PPS why aren't they buying now?
- The current PPS - lots of posts on this one!
- Have they started their buy back?
- And were are they getting the money to research and launch the near term 15 new products?
As always this is just my option / research and believe this is a solid long term play!
I really really hope you are correct!
I totally agree, but "The Shareholders" I included need to see a couple quarters of continuous growth / revenue to stabilize this stock from being manipulated. Once this is done it will be slow and steady, hopefully. IMO