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right. I'll remember not to buy any stocks after a down day. I'm sure JCP and countless others are outliers.
Good luck on your bid for SPLI shares at .25. None will be mine.
if 'people' just became aware of Svorai's past, then I'm glad they sold. how the hell do you not become aware of that either pre-purchase or at least pre-decision to hold?
just a big selloff then. ahead of a trade show, ticker change, 8K filing. seems legit...
"Some much"? I think you meant "so many" - and apparently you're one of them if you didn't understand my rhetorical question. what *I* was really asking was, what do you propose is causing the reduction in PPS, really? a bad day in MJ sector, a completely useless SA piece, what?
for all you say, you say nothing!
are you, Mr. Experienced Trader, saying there are no other ways to push PPS down other than short attack?
a must-read! we are not under the radar anymore, and when you start to have real success you will have louder and more detractors. the SA hit piece is a good sign, not a bad one, if you look at it that way.
the lesson in yesterday is, always keep some $ out of the market, just in case a plum comes along. sigh...sadly I got none of those .25s as I was 'powderless' so to speak...kudos to those who got in anywhere sub-.3!
spli long! at this point it's looking more likely that I will hold the full year and get DAT TAX BREAK...not to mention continued PPS increase :)
holding tight...
the combo of today's MJ swoon, psychological factor of people selling at .4, and idiotic sub-25%-30% stop losses have us where we are today. last time this happened the stock went from .19 to .13s in a heartbeat, and then right back up to .2+. today's low of ~.3 looks good to anyone who bought in then and earlier, right? so HOLD.
just the Pinks baby, just the Pinks.
how many you got on bid at .0002 DK?
you forgot NATO trade show :)
$PLI
still not filling even after the .0041 shenanigans? I'm intrigued
did I just see bid .0038 ask .0044? LOL
$SPLI's mkt cap should end up at 3x MCIG's best-case imo, and MCIG's still has room...that $6 figure isn't seeming so nuts right now...
sorry, meant .009...and my car's tank is pretty big, so more like 8 or 9 tanks :)
a mere 65000 shares from .0009 :)
perhaps...but check what the 50-day would get to if the PPS just holds at $3.85-$4.05 for a week or two...in other words the fact you're pointing out is a side effect of the massive run this stock has had in Q1 '14
also imo :)
3.79, watch it run during lunchtime...normally selloff time but not when opportunity like this presents itself!
filled at 3.75, shocked it filled there...then I saw 3.60, and now it's 3.77!
I swear there are dozens of successful day traders who only play this one ticker...lol
do you guys see the .0017 trade today?
I have etrade so only so much reporting I have...but it says day's range .0007-.0017!?
I am consolidating some losers to scrape up funds to get back in here...last leg went .0003 to .0009 and I was happy. This one I'd be ecstatic to get back in at .0007 but will pay up to .001 as I expect a move here, and when I see so many ihub hitters on it too, I feel even better!
no news for a bit is OK with me, keep the price low for a little bit longer til I get back in :)
no meltdown here! bought at .009, sold for free shares at .07, am not selling below $1 now unless ER comes out and is as bad as you predict it will be. I'll buy you a Coke if it is, ok?
congrats to those who grabbed more at sub-.005s! Those might be gone for good now that we're out of the initial dip!
I'm maxed/tapped out (mostly in a good way, thx CW*R/SPL*/*FON/DSCR), or I would have too.
Wednesday was always my favorite Addams!
lol way to go out on a limb
I'm selling at .01...some, anyway.
Dog? Greyhound, maybe!
I bought, AFTER the run, at .0012 on 1/24. I'm up 60% in less than two months. If that's a dog, I want my portfolio to be a kennel!
DSCR looks like it fits the bill...I jumped in too early after the dip post-initial run, but have since averaged down to .0026, am now awaiting probable name/ticker change and run post-consolidation...if my crystal ball is accurate anyway!
yes, agreed Porky, the move is to wait until after EOM...only then will you know if you should have sold at .0025 and up LOL
I sat on this thing from .0012s, for about 6 weeks; it was tough. now I figure another 2 or 3 won't kill me.
hold tight...I was just at 0035, bought to get it to 0029...0033 could be worse...
this had a lot of retracing to do, will go back toward 004 and beyond within next few weeks imo...
just got 23s to avg down to 29...better than the 35 I was at
go DSCR
BCAP it is then! Ha, should have held!
question for Mr. Blue:
of SDVI/BCAP/UVFT/ORFG/BLLB, which would you enter now, if you had to choose one? I already have a nice position in IFON and am holding TGGI, AVEW, FFFC at least partly due to your guidance. I also got into BCAP at 3s and sold at 8s/9s. Right now I only have enough to grab about $500 worth which means I'm only going into one of those stocks...
would you just go with the one with the nicest chart position (i.e. dip) or do you like one much more than the others? I would guess UVFT - but I do like BCAP and feel obligated to them for making me more than the $500 I have to put in now...or I could take the loss on FFFC and add about $400 to the pot...
and by the way, thanks and kudos to you sir...if you're ever in Miami I have your first ten drinks! ;)
65k and holding...I now regret selling 9k shares at .07 in order to make the other 65k free
65 shares here, and holding.
1st ihub post for me! woo.
65k shares here, held since .0009s. Already sold some at .07 so that my 65k are free too. should probably add, shouldn't I?
go SPLI