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With current float of 69.4m, I could not understand why the pps was going DOWN! Stocks with 5-10x of this float are RISING in pps. It is DEFINITELY not the retail investors bringing the pps down.
Thank you explaining what is going on to us new investors, it is the dilution that is bringing the PPS.. they just want to take hard earned money from average retail investors, even if the pps goes down to .0001.
This type of DILUTION is to most all OTC stocks, It is mentioned in the education sections here. Management will get money it needs by this action, and if pps goes down, they really not care.
I am little new here, and I see so much stock
manipulation here with OTC/Pink Sheets.
Each day there is HEAVY shorting on all these stocks,
viewable on Level 2. When there is a 80% buying levels at lower prices verses 20% selling levels.
The computers hedge funds set up to short stocks here,
drives prices lower and lower.
For the average individual investor, there is much heavy
pressure constantly, by these computers, to lower the pps.
This is NOT done as much on other markets,
like it is done on OTC Pink Sheets.
Can you explain how their projected numbers work out? What is their end game with this RS?
On lowfloats.com the stocks listed with
floats starting at 150,000.
Again current float is 69,420,953.
with 4,000:1 reduction the remaining
float will be 17,355.
The reduction shares could ONLY be
463:1 to get to 150,000 shares in new float.
Please correct me, if you view my figures,
are not correct, and yes I hold shares in this,
I not understand management numbers presented in RS.
At 4,000-7,000 to 1 reduction in shares,
I not see any new company doing a RM after this
reduction, as they will not have proper shares to trade.
Authorized shares..7,500,000,000
with 7,000:1 share reduction
1,071,428 new Authorized shares
Current, Float 69,420,95
with 7,000:1 share reduction
will be 9,917 shares.
Does everyone think they will take
the knife to this extreme levels?
Even as management says they will possible
reduce this share count, I don't
see it as a reduction of 7,000:1
The current float is 69,420,953...(OTC)
MC now is at $8,250,000
(total shares 7,500,000,000/current pps..$0.0011)
With the 7,000:1 reduction, the Float
will be 9,917 shares!
What is management goals to trade with such
very low float under 10,000??
Using my percentage calculator,
142 of 1,000,000 equals 704,225%...
that means the share price,.0010 would rise
in value of 7.04325.
M/C..5.339 Million
For 142 shares.. equals 986.055.
SMSEY..9.39pps Samsonite International
M/C...2.682 Billion
What percentage would that equal to if the split is 7,000:1?
Would the current share price go up the same percentage value?
Total Bought/Sold......
Buyers..........40.8%
Sellers.........59.2%
Open............0015
High............0017
Low.............0011
Close...........0012
-0.0003.....-20%
BIG ATTACK FROM MICROCAP HEDGE FUNDS!!
THE SHORTING IS STRONG.. (few snapshots)
25,725,449..0.0011(buy)----260,294..0.0012 (sell)
15,999,999..0.0011---------125,000..0.0012
16,150,000..0.0011.........575,000..0.0012
4,455,000...0.0011---------20,000...0.0013
Small investors DON'T stand a chance against these
hedge funds. They manipulate stocks, like this, and steal money of good people. You will almost never win this battle.
ON JAN 13..
Open.....0018
High.....0018
Low......0015
Close....0017
27 DAYS LATER....FEB 9..
Open....1050
High....1400
Low.....1050
Close...1242
YES.. 7,200% increase in LESS than 4 WEEKS!!
A $2,000 investment, 7,000% works
out $142,000!!!
There are SIMILAR PLAYS here in the OTC WORLD..
PLEASE PAY ATTENTION! AND YOU CAN BE A WINNER LIKE THIS!
PAST 5 DAYS...-.0277...-22%
PAST MONTH....+.0947...+5,261%
A buy at .0017.. $100 investment would have
returned $5,361...
A $500 invest would returned..$26,805!
A $1,000 invest would have returned...$53,610!
CONGRATULATIONS!!
TO THE MANY INVESTORS HERE THAT RECEIVED
THIS AND MORE RETURNS!!!
ON ALL MY POSTS...
I NOT advise to buy or sell.
I just inform of current TEMPERATURE of stocks.
Yes information is available to anyone.
When buying a stock investors decide
their entry point and exit points.
Know when to EXIT will GROW your PORTFOLIO..
Total Bought/Sold.....
Buyers.........44%
Sellers........56%
Open...........0310
High...........0310
Low............0200
Close..........0240
-0.0070....-22%
5days.......-60%
month.......+2,300%
The most IMPORTANT RULE here?
Learn how to TAKE PROFITS!
You will be very UPSET in future
if you don't do this!
TOTAL BOUGHT/SOLD....
BUYERS........52.23)
SELLERS.......47.77
OPEN..........0016
HIGH..........0026
LOW...........0014
CLOSE.........0022
+0.0006...+34%
5days.....+34%
month.....+616%
The most IMPORTANT RULE here?
LEARN HOW TAKE YOUR PROFITS!
You will be VERY UPSET in future
if you don't do this..
YES!! THAT IS AXION #1..
'The CENTER STAGE"
It is a WAR here with many enemies
BASHERS. SHORTERS. BIDWACKERS. NEW SHARES
COMING OFF RESTRICTION.. ALL attacking the PPS..
"Its NOT your job to make the stock PPS go up,
Its your job to make your portfolio grow!
Don't stay too long at the WAR!"
REALLY??
I WISH SO VERY MUCH!!
MY OTHER STOCKS WOULD GO UP LIKE INND!
IN PAST MONTH +3,715%
ALL OTHER POSTS DONT SAY THAT!
TOTAL BOUGHT/SOLD.....
BUYERS.........40.7%
SELLERS........59.3%
OPEN ..........0605
HIGH...........0640
LOW............0494
CLOSE..........0496
-0.0109...-18%
past 5 days...-0.0176...-26.19%
past month....+0.0483..+3,715.38%
The most IMPORTANT RULE here?
CASH OUT WHEN YOUR STOCK MACHINE GOES COLD!
A RUMOR can spark the herd to SELL!
AND LESS THAN AN HOUR
YOUR ISLAND VACATION IS GONE!
being in the OTC BUILDING..
EVERYONE HAS SOME LOSSES!!
It does not take much time, less than an hour,
to lose a nice profit of a trip to the islands.
A RUMOR..is all it takes to spark the herd to SELL!
Protect yourself with STOP LOSSES if you
have to step away for short time..
Your reported losses (deductable)..
will assist in that tax bill..
TOTAL SHARES BOUGHT/SOLD.....
BUYERS........40.51%
SELLERS.......59.49%
OPEN..........0249
HIGH..........0300
LOW...........0180
CLOSE.........0190
-0.0059..-23.83%
WHEN YOU ARE UP IN PROFITS/BLESSINGS..
CASH OUT GOOD PERCENTAGE!
WOULD YOU LEAVE MAJORITY OF
YOUR WINNINGS IN A SLOT MACHINE? NO!
JUST LOOK FOR ANOTHER FRESH STOCK MACHINE!
TOTAL BOUGHT/SOLD.....
BUYERS........30.48%
SELLERS.......69.51%
OPEN..........0.1149
HIGH..........0.1294
LOW...........0.0910
CLOSE.........0.0965
-0.0184....-16%
WHEN YOU ARE UP IN PROFITS/BLESSINGS..
CASH OUT GOOD PERCENTAGE..
OR YOU WILL REGRET IT!
TOTAL BOUGHT/SOLD.....
BUYERS........42.83%
SELLERS.......57.17%
OPEN..........0.1690
HIGH..........0.1800
LOW...........0.1329
CLOSE.........0.1720
+0.0030.......+1.78%
WHEN YOU ARE UP IN PROFITS,
TAKE GOOD PERCENTAGE,
OR YOU WILL REGRET IT!
I-HUB NEVER ADDS THE (far right) COLUMN...?VOL...
Scroll down and you will see it's NEVER ADDED
to either the BUY or SELL columns.
those shares were neither bought or sold..
it's same on all stocks..
TOTAL BOUGHT/SOLD....
BUYERS.........52.14%
SELLERS........47.86%
OPEN...........0049
HIGH...........0051
LOW............0039
CLOSE..........0043
-.0006...-12.24%
TOTAL BOUGHT/SOLD....
BUYERS.......36.65%
SELLERS......63.35%
OPEN.........0017
HIGH.........0020
LOW..........0015
CLOSE........0015
Total shares bought/sold....
BUYERS......63%
SELLERS.....27%
OPEN........0009
HIGH........0010
LOW.........0008
CLOSE.......0010
I AGREE with the poster on lack of
HONEST.. CURRENT... INFORMATION..
needed to make a decision to buy or not.
In over 5 or 10 years or MORE! these stock businesses
GO DARK! NO CURRENT PUBLIC INFORMATION??
they CONTINUE to accept investor money..
when there is possibly NO BUSINESS!!
I AGREE with poster.
BE AWARE WITH THE RISKS!
Please send your post about this stock, BEHL, and other stocks you mentioned, to the SEC.
It would benefit thousands of investors to NOT BUY stocks that have ZERO BUSINESS ACTIVITY! And your letters would inform the SEC to
SUSPEND their business immediately!
What is the play then..
for the 4 major purchases..
that were made in past 2 months? There must be some angle for this..
BIG ORDERS
Were made here last week. the purchases amounted to 30-40% of the float. could you explain then why these purchases were made, if this is a dead end, as you describe?
YES!!
DEC 7....437m VOL
DEC 29...553m
JAN 13...657m
FEB 3....281m
total...1,928,000,000
FLOAT...3,400,000,000 TOTAL
50%.....1,700,000,000
25%.......850,000,000
WAS PURCHASES TO BUY UP MOST OF EXISTING FLOAT?
EASILY THESE PURCHASES COULD OBTAIN 25%,
OR CLOSE TO 50% WITH OTHER PURCHASES!!
THIS HAS BEEN VERY SERIOUS INVESTMENTS!!
https://www.google.com/amp/s/api.nationalgeographic.com/distribution/public/amp/news/energy/2012/08/120820-helix-wind-collapse
This article says all assets were sold. Where is current news that has changed this?
Where does it make sense to sell at .0001? The seller could have sold at anytime at .0002, without taking much loss. Why do sellers get rid of their stocks at lowest price EVER, .0001, it may be some time before this goes anywhere. Why do others want to purchase a free-fall stock like this, without any new news from company of their future business plan?