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Just picked up a small position and ready to ride this up once deal(s), well numbers, and potential extraction output are confirmed. This might be a year or several years long position depending how things play out and the price of oil as well IMO (of course after to sell and ride on free shares).
Everyone is waiting on updates. The smallest position I have in my portfolio is $SKYF in case it explodes then I have some extra cash in my broker account. If it doesn't then at least I won't lose my money and can exit like a gentleman. Once current I see 001+ or 002 with good news IMO.
If I has more money I would be buying more into $IFXY as this is not a quick flip but a longer play here with a lot of potential.
No news until EOM or Mid December --- patent applications, 3D printing and designs and those forms take weeks upon developments. Updates on JV/Licensing/Partnerships can be at any time but I think he will wait to build momentum. We may see spikes over 5s and 6s without public news nearing EOM leading to the week or two before forms/PR IMO. Those spikes will then dip to get MM flush out weak hands before the major rise. Either way GLTA $TGGI
Tutu I disagree with you. Good luck to you anyways.
2s dont exist 3 are thin. MM are flipping retail weak hands and loading for 2018. This is a 2018 play and beyond as you may be able to flip EOY or with updates later in December or late November but most gains will come after.
8s filled for me today (broken up order) 7s dont exist. 8s thin and going fast it seems as of right now.
1 Million on .0008 will update if it gets filled.
I have been chasing the day lows all week and non have been filled FYI. MM all over this one.
Wow utter SH destruction. Been in Delcath since last April, held and sold through Summer. Glad I sold this twice and rode the wave twice and sold last amount of shares in September.
http://www.otcmarkets.com/edgar/GetFilingHtml?FilingID=12357909
Who will buy back into this at post RS and not wait for it to tank more is a very dumb.
"ECB may take tough stance on banks sitting on soured debt: Report" - http://www.reuters.com/article/us-eurozone-banks-ecb/ecb-may-take-tough-stance-on-banks-sitting-on-soured-debt-report-idUSKBN1D30E5
2018 will be a better year for Greek banks but still risky. Good to get in on bottom when it dips again and holding for the next few years until NPL and other debt can be sold or transferred.
Picked up small position yesterday enjoying the gains, hope new direction doesn't wipe us out but adds to PPS and earnings - if so I can commit to going long with this one as opposed to the 200% flip.
2's are fake. 3's thin. Expect news EOM if not mid Dec hopefully we get them sooner. We will see jump before filling but MM are creaming newbs here
.0009s are fake. I have several million limits all week --- news probably next week (Dealing with China). The longer the wait the better in my opinion regarding paperwork. We will see PR or forms on Cannabis side after deal inked in China - Frank can play this right and make this a legit company with upticking at Canoe wants.
Depending on upcoming filings I may be long on this one like SFOR
Your comment made no sense. Either way GLTY. I'm semi-long here
I am up over 40% ...should I sell? Yes. Am I? No. Why? This is a legit company and multi bagger.
Next week IMO no new this week G L T A
IFXY picked up a small position at .0007 might have to re-enter at .0005 if we dip but DD too legit not to buy before this pops off. $IFXY
Also picked up some GTLL as a lottery ticket.
Don't invest or trade right now. You are asking bad questions and you will lose money. Study some more or put money in a fund while you study and learn. Good luck to you
I'm so mad my 9's didn't fill!!! It almost skipped the 10 and went straight to now in the 11s. Crazy day. My 0009 limit is still up just in case. The right forms/PR EOW can drive this up of course BUT I am still skeptical on how amazing the news will be this week. Would love this not to be a risk play anymore once filings instill confidence.
You are correct. Many times traders get paid to sell at loss to create downward momentum. In this downward momentum greater SH will sell increasing float of available shares beyond the initial sell off causing a great discount for large buys. Those large buys usually are correlated with the downward manipulated activity. You can only do this with penny stocks as 20-30K can create this panic and with other stocks you would require multi-millions. Sometimes CEOs/proxies even do this on the hush to buy back shares at a cheap price to then later cancel them when the stock goes up to increase the value of existing stock intended to be sold, exchanged, etc.
So much risk here until product line is shown along with licences, where the products will be sold, and possible JV/partnerships in other MJ selling states.
2s not being filled again
I have 999999 limit orders at .0008 and .0009 --- I don't think this will dip beyond .0009 as CEO is in China and details being hashed out. This is a Risk play of course considering. GLTA
.0009s limits not being filled on my end. will update when my test 1 mil order goes through
Surf I was there two weeks ago and I currently work in Manhattan - the train ride home was hectic yesterday. Good Luck Today just grabbed me some breakfast and waiting for opening bell.
Don't buy this stock.
If you cannot understand the language in the filing go to another stock.
If you need a LLM to understand a stock then dont buy it.
GLTA
play lithium, cobalt, cannabis, block chain, cyber security, alt currencies and AI get out of consumable goods or hospitality for 2018
I have several million orders I put on the bid or low ask to prove sometimes the dips are not "real".
Put limit order 999,999 at .0002 - although it says .0002 my order won't get filled I guarantee (again).
Damn it! The one day I had to work early I missed the cheapies. Good luck everyone and Happy Halloween.
You clearly have no understanding of Chapter 7 proceedings and what they/Gallant want to do... It's written in the forms
Glad I'm not in this one you guys are f'cked by this CEO IMO. Hopefully I'm wrong Good luck to you all.
That is what we are saying almost ALL risk until this filings - then upon updates new comp starts filing regularly and goes for uptick to get more financing and so on. That would be what Canoe wants and also our Best case Scenario
Forgot to say thanks for the invite.
How you doing? What you playing this month?
Yes you are 100% correct but I with merger now the situation is going to change regarding reporting and upticking IMO
8-K as that purchase is intended to increase value and that is a material that shareholders need to be aware of. Once it goes through I think 8-K will do it or PR with forms
Not as dead as your brain cells.
Drops mic...
Oh yeah I forgot
LOL.
GLTU
Dilution pays for Antminers and extra 200-250K for costs initial electricity bills and general expenses. They can still screw SH over but I don't think that is their intent as gains from pooling will be enough over 5K Bitcoin to warrant and further dilution. Again there is risk from Frankie's past but merger pushes him out and focus on growth (not just penny stock flipping). This is a real company now and although risk once details emerge this will go over a few dimes by next ER after merger.
Yeah but homeboy just bought S9s. 100 of them on bulk order is around 300-350K. They wouldn't be spending buying this stuff if it didn't make sense - meaning, their S9s will pool with their China hardware until US operations can take over. Many currency mining pools and companies will come to US in the next 1-2 years
I see .09 soon then .20s once (Bollinger Bands) Chile news comes out. Then over 1.50 like Lithium Americas in a serious month climb. You're an idiot for selling this one this is a multi multi-bagger IMO.
1. Dilution, 2. News, 3. Harvest. They are diluting until harvest so they do not dilute after harvest and kill momentum with future earnings.