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"This by itself will raise the sp. The "X-factor" is media exposure. A consistent outpour of SA articles, blogs, mentions in other mainstream outlets like MF, Reuters, WSJ, etc will fan the flames even further. A good rumor, EVEN IF FALSE"
Don't leave out the FOOL. They are top notch ;)
....I should add to this that I feel they have a great case with what little knowledge is available to the public FWIW
My dear friend Cooler, just got finished with work and saw your post.
No, I'm not worried
Yes I'm diligent
Yes this is a great reply
No, I didn't fail writing and arithmetic in school....sorry for the spelling errors earlier as I was on 95 WDDDing and driving ;)
We tend to see eye to eye on these things and I believe you are correct in your assessment on all fronts. I think this is an excellent investment, but there is also inherent risk associated with anything litigious (as you and I both know from VRNG). I'm of the "let's see where this lipsticked pig takes us".... I don't like making sp predictions and don't particularly care if the company wins or not if I'm being completely honest. I believe in a reasonable rate of return, not the legal system. I do however care that the market VIEWS this case as a win, and that the facts presented pre-Markman dictate a massive runup so that we all can make money.... That's what we're here for right? I'm not in love with the company, just a healthy lust. Good luck all and I look forward to more constructive and informed posts on here as we proceed.
That will slowly change beginning Monday :)
It's better than the slow bleed typically associated with periods of little or no material information in IP litigation stocks. I'll take dead still all day over slow erosion.
What stock are you positive on?
"Until Worlds gets over $1 PPS I don't see any reason to be worried or thinking to sell pre-Markman. Why?"
- I disagree and this is not what I was trying to say. It is NEVER a Bad thin to lock in profits nor should anyone be chastised for doing so. I have made a very nice chunk of money from trading in and out. My question, however, stems from the widely held believe, and historical proof of the pre-Markman run-up. I maintain and have even added to a large core position. I simply like to look at the other side of the argument to serif there is any relevant information that I may not be aware of, or if it's simply investor preference/risk tolerance different than my own.
"Simple Susman & Godfrey and superstar Max Tribble.
These guys are the masters in the field and ATVI's top attorney couldn't make our team. Prior art and complex patent litigation requires a skill that Susman has mastered."
- I agree that WDDD has fire power for days, however nothing is a slam dunk, there are absolutely no sure things in IP litigation companies in there infancy (especially pre-revenue), and most importantly, regardless of the quality of facts presented in motions predicating a Markman ruling, the judge has the final say so as to what will and will not be considered in his court room. My 9 year old can see that this has a ton of inherent risk.
That said, I'm long and maintaining my personal price target, at which point I will reevaluate the facts of the case at that time and invest accordingly. GL to all
With Preliminary Claim Construction Briefs due on Monday I gave to ask why? I'm not trying to influence your trading, but I'm curious as to what possible catalyst or otherwise has prompted you to eliminate your entire position as opposed to removing a cost bases etc.... Shaky on the surface
Agreed. Not mention exposure from "outside" and more "mainstream" sources
I'm sure that a lot, if not most of the hype credit to the stock price is already baked in due to MB's and the general buzz. Buzz only lasts so long, like a good looking girl, you eventually have to be able to speak a full sentence. We need PACER, and I am excited to see what happens on Monday when Claim Construction posts for all to see. These will be material catalysts that are required to move a stock beyond the Christmas Eve hype.
Preliminary Claim Construction Briefs due on Monday. This is where volatility goes manic and exposure to the greater market comes from more mainstream sources, meaning fresh blood.
I'm a huge fan of the Pre-Markman PACER days.
Exciting stuff...... Profitable stuff :)
This is likely close to the truth. With IP litigation companies it is not often that charts and patterns have any sway on the movement of the underlying security, however it is very hard to fight the magnetic tendencies of RSI. We were heavily overbought yesterday, and by EOD tomorrow will likely be heavily oversold. As long as the macro effect is a cumulative increase to trading range (higher lows) then it is a bullish pattern. I'm am sure that this consolidation is precipitating a base to ultimately send the SP higher on the next catalyst. Slow and steady is ideal, parabolic moves tend to be immediately followed by the opposite. I'm happy with this weeks movement.
Thank you
Thank you, I am in the hospital all day and have limited access to computer. Appreciated.
I'll ask again.... Who has PACER and will be checking over the next month? All the EDVAs and DDs of the world don't mean a thing compared to hard facts. I don't have the ability from day to day to be in front of a computer, but it is important to have one or two looking a couple times a day.
5,6,7,8 PACER docs..... Who's on it for the next month?
Or a financial advisor...
I just looked at your last 15 comments on Ihub.... You just seem like a ball of fun fella. You need a hug
Lol.... Levity is a lost art on this board lately
There is a chance VRNG money may come here. GOOGs new motion hints towards a workaround. A lot of investors will look to salvage principal and move it into WDDD to recoup losses.... Hopefully, IMO, FWIW and anything else that applies here. I sold a large chunk of my VRNG and will be looking to invest in 3 days after funds settle.
Agreed sir... This is fun
Lol.... You'll see shaky when it settles from the run.... Things like "what's wrong" and "when should I sell" start popping up on the board
That would leave 900,000 that other retail bought.... I picked up a large chunk of that admittedly. Just thinking out loud here, but I guess I'd like to believe there were multiple buyers instead of just one large one. Then again, more money in steady hands as opposed to shaky retail newbies can't be a bad thing.
Glad you and yours are well friend. Stay positive and know you have our sympathies.
Glad to hear you and yours are safe. This thing certainly seems to have some more legs. Looking at the RSI, looks like we have a little more mojo before settling into a new trading range. I think we will see some more shorts moving in by end of business today to try to establish themselves before consolidation. The one Ace in the hole we have is EDVA on Thursday though. And apparently the following week as well. We need to take advantage of the mini "false-catalysts" that still work on a stock like this. I remember 20-30% moves with VRNG when a seeking alpha article came out, but once we got well into trial proceedings the market got tired of the once a week bloggers trying to make a quick buck and now she doesn't even flinch at a new article. It's nice to be able to plan a move around hype still, and once she hits a dollar we can get some legit SA articles to add more exposure, I'm not the biggest fan, but I see I helping initially here. Ultimately, there are a lot I things here that will defy chart logic IMO with so many potential catalysts on the horizon and NEAR-TERM to boot. The most exciting of all will be our first pre-markman motions which I have to believe are coming via PACER in the next couple of weeks. GL everyone and looking forward to great gains. Oh, one last note, for any newbies to patent litigation stocks, it only gets more volatile from here, I suggest no stop loss and no margin. Keep you constitution in check because large swings will be par for the course from here on out, and a 5% dip scaring you out followed by an immediate 10% pop (it has happened more times that I can count in VRNG) will really sting. GLTA
Doesn't look that way. I can't imagine GOOGs motion will bode well for this thing
Definitely a fun penny play.
That doesn't bother me, I'm sure he likes money just as much as I do. This is what I'm keeping my eye on:
Stock Warrants and Options
Stock warrants/options outstanding and exercisable on December 31, 2012 are as follows:
Exercise Price per Share Shares Under Option/warrant Remaining Life in Years
Outstanding
$0.35 212,500 1.00
$0.20 300,000 1.00
$0.15 1,537,500 2.00
$0.115 500,000 4.83
$0.11 150,000 2.30
$0.11 300,000 .30
$0.076 7,500,000 1.25
$0.05 600,000 .85
Exercisable
$0.35 212,500 1.00
$0.20 300,000 1.00
$0.15 1,537,500 2.00
$0.11 150,000 2.30
$0.11 300,000 .30
$0.076 7,500,000 1.25
$0.05 600,000 .85
Time to tear apart this 10-k
Close .53 at 3MM vol?
Phones and communications are down, best to Celtics and anyone else in that area.
Thoughts and prayers to you, family and friends Celts. Stay safe friend
Stay safe, ill be thinking about you guys. Let us know all is ok.
Explosion near finish line???
We are right at the volume high threshold as well.... Should top that by end of business.
Intraday my friend... We need the close to be official
Talk about timing.... I'd be a controlling stake holder in this company if that happened ;). Congrats on the lemons to lemonade
Look at the trades.... Two trades went through for a few thousands and it added a 0 in front of the 46 for no apparent reason..l, I've never seen that happen before... Ever. And on every ticker I use too. I can feel my heart beat in my nethers now.
What just happened???
Jesus Christ dude.... I just looked at all your posts on this and every other board on ihub. You either have an agenda or you are the most manic depressive, Eeyore'esque, party crashing, buzz killing, fly in the soup, please don't sit beside me when women are around, pass the Zoloft human being I've ever seen. This is comical... But apparently you are good luck on here??? I'm here if you need to talk