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I’m BACK!! Looks like the BIG boys are circling!!
Round two. Bought .0694 sold .104 and just rebought at .068
None, pump and dump.
Crash and burn!!!
I got out at the perfect time!!
Here come the trips In May!!
Timber-I told you all. .005 and below is coming next week!
Why isn’t this 2x $VIX?
Back down to $200
It will update Monday.
Get ready for shorts to cover!!
SP500 below 2000 by end of May.
Sell in May and go away!!
I’ll rebuy in June 1 at .0025 :)
$228!! Get ready for the next run to $1000
Markets are crashing, let’s see some breakers go off today!
Exactly, the funny they think that was a good PR. Not a sale until the cash is in the bank!
I’m in sales and have quoted 100x my Annual sales in the past 6 weeks.
People are bored and want to see numbers.
Must be the Beer but I loaded 330 TVIX premarket and its looking good for a second market crash!!
Unemployment over 20 Million in 6 weeks!!
SPY going back down will go below 200
Going back to $1000+ by end of summer!!
May will mark the largest drop in markets this year. Down 15000, SP500 1700
Anyone mad be mad, be mad at Jef:
Here’s his personal number
+1 (530) 687-2175
I’m down at .005 now
Jef screwed it up! Quotes lol
Not a good sign Or a good PR.
Key word “Quotes” not Sales.
What a ride. Thanks for the AH run up, unload 32614 shares around $2 from $1.15 buyin.
I sold mostly in one lump sum last week, 4 other lots this week, so it should not have had much effect. Ultimately 1 share holder for 5 shareholders.
Than once I buy back in, 6 holders and kaboom, it runs back up.
Why would people be upset someone took profits. I held for months prior to the official name change.
Like I said last week, I was still holding 2 million shares, but have since unloaded my position for the moment due to the downward selling pressure.
I’ll be back in by Friday possibly when a solid base sets up.
Charting shows .011 bouncing point.
I’ll start slapping this week. Following OTC markets trends
I’m still on bid but now to reload shares.
Time to load up, dip and rip!!
Im out of post but I wasn’t the 1.5 million all week, I was the 1.83 Million bid at .015 Friday.
Trust me I’m long and have been here since VTNL announced the merger and was around when it traded 2 million shares between .0017-.0025.
Yes the 2 million shares sold were under $4k, I loaded big on the way up, holding slightly over 4 million shares before Friday’s open.
I’m still a HUGE holder, I don’t want to blast it on Twitter for everyone to see the sale under the BrewCrew account, but don’t call me a liar.
I was, and now stacked up on the bid.
I had to take some profits, I’m one of the original holders and at one point was down to less than $4k.
Luckily now I have ammo to load as I please and hold for the run above .10.
I was only able to sell about 220k at .03, the rest was .0029 and the bulk was .0288.
My average on 2218327 was .01078, but been holding / buying since late January.
Now I’m fishing for shares again.
I sold 2.2 Million .0288 and above and bought 600k back also below .017
I’m the huge bid at .015 now
Yes it’ll get above .10!!
;) .0288
Buying all I can this week.