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Glad to be out
Holy shit! After 4 years I finally just got out of ABVG. I hope it goes to the moon for all you new buyers. I don’t do .0000 stocks anymore. GL
I’ve been waiting this long. I can keep going
Finally got volume 2 days in a row. Maybe I can finally sell these 10,000 shares from 4 years ago lolol
Interesting
That yahoo page doesn’t show the correct prices pre-split. I have confirmations of purchases for .60 in April 2018 and I vividly remember it bouncing between .60 and .80 leading to the split. But I’m not trying to come off as aggressive. Just defending my point. GL!
Also, HEAR was not trading above $3 as you say, it was trading @ $.60 pre-split. I was trading it at the time and just went through my trade confirmations to make sure. You would be well-advised to check facts before stating a guess as fact. GL
You said a r/s is always bad. I gave two examples where it wasn’t. You didn’t ask for examples that have similarities to RGSE. I probably can’t find any. GL
We’ll see what happens. Hopefully a swift recovery. Glty too
I can’t remark on that as I don’t know anything about MNGA in general. I would’ve preferred a simple safe harbor r/s statement to defer delisting. That seems to be all nasdaq wanted. If they couldn’t reach a $1 by 180 days THEN they could’ve said sorry nasdaq, we aren’t doing the r/s, we’re delisting. Then I’d have understood. If I’m misinterpreting and they needed to enact a r/s immediately or within a short time then I support their decision.
$HEAR? Their r/s worked out well for them. I guess Priceline had a r/s then went on to be an 85-bagger (according to motley fool). It’s rare that they’re good, but in principle they can be.
I agree. But couldn’t they have just put the r/s option on the ext. plan to get 180 days and release sales news/get over $1 by August? Lacey could’ve stayed true to his word under those circumstances. I’m still bullish on this ticker but this move makes me question what they are thinking behind the scenes. R/s arent always bad, shorts don’t short a r/s just because, they short it due to the underlying fundamental flaws that led to the r/s. Usually r/s is just to get the price up to a respectable number for dilution. Some things don’t seem to be lining up here. But I’ll remain bullish because this move doesn’t affect the core business. It only reveals possible chinks in the armor imo. I sold Friday after the halt @ $.4505. I’ll gladly buy back when/if the time is right.
Pretty sure it just means they’d have to include r/s as an option in their plan to regain compliance. Not enact a r/s immediately. The general bullish consensus seems to be that the company wouldn’t include r/s as an option in their plan based on the CEO’s comments about no r/s, leaving the co. no other option than to delist voluntarily. It does imply that the co. isn’t confident in getting above $1 by the end of the 180 day ext. I’m sure bulls would’ve been fine w/ it included in the ext. plan. They (we) would’ve rationalized it as a simple formality, not the CEO backtracking. Which adds more uncertainty to the equation here. Just my take
Looking good
I've been holding .0002s for two years lol. I bought for that dividend they canceled. I'm here to stay now though!
Earnings out this morning EPS .17 Nice
There's a stock alert out tonight from epic picks for SAKL
Seen this coming a while now, hope it breaks 16/17 today!
Good mornin so far ;) lol
Chippin away them 8s
Got myself some 10s yesterday, go SOUL!
SFOR is looking great today! I'm thinkin we'll see 15/16s today maybe higher
I've had shares since last Monday and I see no good reason to sell now. Go SFOR!
I'm in. That line for 0001s is crazy.
Closed green again. Nice end to the week!
all aboard!!
To the mooooon!!