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smart play is to wait to buy, this is only going lower in the short term.
Is anyone else worried about all the loans they took out in 2014 that can be settled with shares at a 40% discount? Seems like they are not shy with handing out shares. Or am I reading it wrong? I'm long, but this report seems pretty bad to me.
I can admit when I'm wrong. I never thought it would go this low. Incredible how IR is destroying the share price. I'm still long and always have been, but this is getting tough to watch on a daily basis.
Please mark the post. No need to feel sorry. I haven't lost a single cent unless I sell, which I won't be for years and at a significant profit.
.0005 is ABSOLUTELY not a real possibility. Stop spreading that bullshit. I've been here since February. Certainly not happy with how things are going right now but I felt this was a 1-2 year commitment from the get go. Saying .0005 is likely is an absolute joke. Your username seems to describe you perfectly.
He sold twice. Both times were 5 million shares. 5+5=10
I'm fine with it. I see people panicking next week which will give me the opportunity to scoop up more cheap shares
There is nothing to suggest that an R/S will happen. I see nothing wrong with the o/s, would love to see them retire a shit load of the a/s though
Added another 100k to my stash. Wish I had more available cash to throw at it.
It certainly is, going to be a good monday
Never mind, looked it up. Apologize for the simple question but still new here. You would think the first bruins playoff game would keep me from checking any updates, but nope. Love APT
http://www.otcmarkets.com/edgar/GetFilingHtml?FilingID=9927148
Had the day off and have been drinking all day. Any one tell me what this filing means
Good buy Rick. Don't you worry at all, it will be worth at least double that in the coming months (and that's being conservative). Come back in a couple months, forget about the day to day
I didn't see my name on the shareholders list. 500k at .007 avg. Might be closing some positions and averaging up this week. I don't need the money and won't be selling a single share until this is on the big board
I agree. Saying FROZ will hit a dollar in the near term is crazy. However, thinking it isn't worth at least 5x what it's currently trading at is just as crazy.
I don't think it would be the kiss of death in this situation either, but it sure would make my goal of million dollars a lot further away
Really hoping they go any other route to decrease the a/s other than a r/s
.25 is my guess. Even that may be on the high side. It all depends on how they end up handling the ss. If they reduce they a/s is the only way I see it being higher imo
I am long on FROZ but I think the only way we reasonably see a dollar is if they reduce the a/s
can add my 500,000 to the list of locked and long
Makes you wanna holla hidy ho. Burns your tummy don't ya know
I love reading your posts and probably gain more analysis from you than anyone else. However, I don't think there is any possible way that we see .007's tomorrow. We didn't see 7's last week when the merger was probable. Now that its confirmed I'd be shocked if we see under a penny. If 7's hit, I double my position
It was a tough decision but I sold my WAFR holdings to pick up more FROZ at .008. Like them both but I see major potential with FROZ/APT
I'm a new trader and I hold a small position here. Can someone who knows better than me answer the following question. Is delaying releasing their financials because "the accountant was traveling" considered a valid excuse. Seems like a small red flag. Someone ease my worries, thanks.
Looks like they agree with you, filing pushed back till April 15
http://www.otcmarkets.com/financialReportViewer?symbol=HIMR&id=117928
I'm in for 2 million at .0004. Don't want to be on the sidelines if the buy back does occur. Got to be in it to win it and its small money for a potential windfall
Up 35% since the 10 minutes you announced it. Impressive! Nice market presence
After doing a little DD on ADCS's new CEO, I decided to stay away
Real excited I was able to pick up another 100K at .0089. Wish other money has cleared so I could have got more.
Going back up, didn't get my 200k buy at .009 filled. Just missed it
Can someone please explain why at this point in the game we are still referring to charts. Isn't this now completely dependent on the merger going through? I don't care what the chart says, if the merger fails this thing comes crashing down, right?