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ok, must have been before you posted (ie I already had seen it)
it was probably what pushed it over 100m
I am working while doing this lol
I don't see that trade
yep...I take it you agree with my hypothesis then...
how the heck do I member mark you?
yes, ask moved to 5 from 4, because of DK's scare-tactic post I'm convinced.
92m volume so they had to set up a standoff, otherwise volume radars would bring in even more volume...
breakout imminent
edit: tiny buy at .0003 to scare us
.0006 before Friday, mark this post
DK posts and last price goes to 5s (after b/a was 3/4)! he's our good luck charm!
or not.
it shocks me that he isn't in jail already. these touts are no different than the guy who sells college basketball picks out of the back of ESPN the Magazine.
agreed 100% - I have sell order at .75 for part of my shares, rest will hold for 1Y cap gains benefit...because yes, I believe .75 easily before 3/1/15
if this hits .10-12 in next 2-3 days, that might just be the reverse head of the reverse head and shoulder fame...but that's my own 'naked eye' charting talking...if that does indeed occur it might be a lot less than 4-5 months before we get back to our 52-week high (it took MCIG that long in late '13-early '14)
either way SPLI strong, let's get to .10/.15 by Q1 fins/ticker change respectively and whichever comes first. at that point we will safely be able to say the chart doesn't look like crap anymore.
indeed! Jimmy V is needed in this forum right about now!
wow, 45M vol just before lunch. oversold to the point of absurdity. sure, insider trading is possible, but without knowledge of that I'm just a lemming if I sell. so I'm holding, and planning to be in on that class action suit if there is one. until then, with the info I have, my target remains $1...call me crazy
porky, have you looked at MCIG's infancy, the .26 to .07 and then slow climb back up? mind you, it did that without a sector-wide crunch and without a group buy from old ladies and college kids following a newbie trader who happened to get in on the ground floor of a bunch of MJ stocks.
this is extreme, sure, but not totally unprecedented or impossible to explain at all imo.
let them go...I had a friend whom I told about SPLI at .011, and who bought at .055 and up, just tell me how fed up he is and how he's glad he sold at .065. I wanted to strangle him but decided against it as he probably wants to strangle me. there's no helping most people...
I know, was joking
ok, and I own 65000 shares. do the math. do you hear 136 or RahVaMil or PanzerBoom selling kidneys? nope. just hold strong and don't leave $50 tips for $11 pancakes for a while.
*handshake*
like I said, no offense. but if you'd buy at this price, which you would because you bought at 3x this price, then hold and lament the fact that you can't buy more. what else can you do?!
no offense, but please sell as soon as possible. if your SPLI investment is tied at all to your living expenses, you are one reason (of several) that this is happening.
you refer to short-term. that's fine.
I refer to long-term when I say that .5 is all but guaranteed to people willing to wait a lousy 6-8 months. $1 is much more likely over that time frame, but .5 is a nice conservative number.
as a day-trader I'm OK - about 10% gain in a year or so - but I'm holding free shares in 3 of my top 4 positions for a reason; namely, unrealized gains are the best kind. just ask the old geezer who made Omaha from a one-horse town into the beautiful utopian plains-states Mecca you see hosting the Little League World Series every year.
of course my average is .009 so it's easier for me than some here. staring at huge red numbers takes more discipline than watching 4000% gains turn into 600% gains does.
re:
I did similar but I don't feel like a fool, because I haven't sold.
I hear ya on the no-marry policy with OTCs...my shares are free though, and I'd buy at this price on fundamentals alone, is kind of what I'm saying. believe me, I have candidates for that $7k (used to be $20k) but none are compelling enough...yet...
agreed that they killed the chart but man...wouldn't Q1 numbers of, let's say, same or better than '13 EOY numbers, get us back to .25+?
FINRA yes
they applied when, a month ago? should be any day
last time he did this, it was when bid/ask was .0002/.0003...I took some 3s back then...greed kills lol...
exactly. all this means is that anyone who said he was 'long' during the insane explosion had/has to live up to it during/after the deflation/correction/short attack/general dip in sector.
and imnsho whoever does will be happy he did, before very 'long' HAHA...
(pls note use of pronoun 'he' in this post was done due to its being correct usage and is in no way sexist, so there feminists!)
a mere 250k shares left after selling to get freebies at .006
at this PPS I am half-regretting it, because I see this flying right past that number soon enough...
I am long-ish tho (since they're free), target .01+ for sure and maybe .05-1, so count 'em and forget 'em for me :)
lol thought so
glad to be on this rollercoaster ride with a fellow Simpsons fan (1st 10 seasons anyway)
:)
could be, but the page I sent deals with the battery only...those things being controlled via BT is another matter, would necessitate a BT controller in the unit as well...
a home vaporizer seems more appropriate for this feature. but I'm speculating. I should order one but for the time being I'm going to 'hold' off LOL
bluetooth battery info:
gajitz.com/bluetooth-battery-gives-you-remote-power-over-your-devices/
basically this thing will enable you to turn it on/off via a BT-enabled device, is my guess. that seems cooler for a home vaporizer than a portable one, but maybe there's some other functionality. I don't think you'll be able to listen to songs on your vaporizer though.
only 3m on ask .0004?
uh oh...
POST EDITED
.0004/.0005
that's the million dollar question! looks like .14 but last week it looked like .24!
I am holding, telling myself that in 30-60-120 days these dips (ok, ravines) will look like speed bumps...
nope, not on Etrade either yet...shadiness...
I think 'they' just want to postpone the inevitable next run, and now that we're on the radar it's easier to do...
I compare us to MC*G every once in a while and now that the fins are out (for 2013, not Q1 '14 which should really show something), it's really not even close...
my target remains $1+
I was never in this stock, thank goodness (wish I could say the same about a small position in another gray-dweller GL3R), but had to comment as that was the best non-stock-touting ihub post of all time. Kudos to you DH!
BINGO!
Etrade shows me 283.4M OS for SPLI, not 270. small discrepancy, but you said to let you know :)
bingo.
as long as you realize that article is a borderline joke!
comparing the 2012 and 2013 revenues of a company whose new owners took over in mid-2013, changed the business plan completely, and then turned a profit in the first year, to a clothing company whose owner sexually harasses his workers on a regular basis, is as apples and oranges as it gets.
once again I say, this attention is a good thing. means they want your shares.
bought at .0003 sold at .0008/.0009, so you beat me Gordo!
but, I wouldn't have sold if I were you; I'm back in today hopefully at .0004 but I will take .0005. timing just seems too good with fear beginning to outnumber anticipation here.
do I have to wait until after 9:30 Monday?
:)
true, they don't...and SPLI's chart tells me .5 is about 99% more likely to appear before .2 does. and with 'catch-up' 10Qs coming out, speculation will abound; this stock has run hard on less. Monday may even erase our losses altogether and put us at .418 previous close (yes, that's pretty optimistic, but definitely not out of the realm of possibility.
what's your prediction, MH? care to make one?