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ulterior motive. CO is better financial shape than three years ago.
Three years ago they had 80 million debt. today, 13 million that's a fact not my opinion.
Had Munro closed the 15 million deal three months ago,
Q3 would have showed 1.5 million profit it's A FACT.
Just doesn't make any sense why the is reverse split PR today while the 800 million just maxed today. and then we have Grant Thornton court case is due right around the corner. There is also no mention of Regulatory Authority (FINRA) approval in the filing. Last year it took them one year to get approval.
They're not going to have my shares.
you only motivate me to buy more.
Because I know you're part of a good organization.
they'r in negotiation with a huge contract.
Up to now whomever was scooping up these cheap shares knew the downside was guaranteed by dilution and now, they want us to get out. This is the most unusual proxy I have ever seen (yet not determined whether to implement the reverse split will not).
I would not be deceived to sell my shares
something funny going on here.Our Board of Directors also approved the proposed Reverse Split on December 5, 2017, but has not yet DETERMINED ? Whether to implement the Reverse Split or at which exchange ratio to implement the Reverse Split.the Reverse Split will not be implemented until at least twenty (20) calendar days after the mailing of this Information Statement to our stockholders. This Information Statement will be mailed on or about December 20, 2017 to stockholders of record at the close of business on the Record Date. The Board may effectuate the Reverse Split at any time prior to the first anniversary of the date of the written consent, subject to the restrictions imposed by Rule 14c-2 of the Exchange Act.
It's funny this happens when Grant Thornton court cases are due and 800 million breach .
GREGG; thank you for all the extra goodies.
You have my trusty know that.
historic turnaround is in horizon.
patience is the key here.
this time the run will be for good.
It's written all over it.
dip is a gift you will be kicking yourself soon.
loading more today
Nope; less than 13 million debt Remaining.
It's in the 10 Q shareholders equity deficit 26.65 million November 15, 2017. November 17, 2015 Eliminated over $15 Million .
GREGG; that was a good one.
Nothing motivates me more my friend.
Every dip Is a gift..
Dilution is over enjoyed the ride.
Money flow is really good rising on low volume.
If I am is right, they have accumulated most of the stock now they just want the mom and pops to get out .a good bottoming pattern for signs that the money is flowing back into the stock after a correction. I don't believe we will see those high volumes anymore very good sign for buy and hold for ever.
"Patience is a virtue"
It will happen, just hopefully not you until I am fully position My friend.
You can't get better cheapies than this baby if you read the recent achievement Munroe has made.
I sincerely mean it from the bottom of my heart.
Sorry longs but I'm hoping for a pullback.
I know you don't like this, but I'm not done loading yet
so did I my friend,
we both know about that's secret sauce.
I am pleased to announce that I am loading more.
I love the board especially today.
Munro had closed the 15 million deal three months ago,
Q3 would have showed 1.5 million profit it's A FACT.
absolutely; enjoying these cheap shares.
Enjoy those cheapies my friend.
Less than 16 million left on the debt ,10.1 million revenue on 3Q,
it's a joke shares trading at this level.
Loaded more at 0.0028.
Can't find better return on investment than a company that's about to go cash flow positive patient is the key here
I don't based my investment based on others opinions.
My investment is based on Fundamental analysis (cornerstone of investing). All intelligent investors like your self knows what's gone on here ... The biggest part of fundamental analysis involves delving into the financial statements. Also known as quantitative analysis, this involves looking at revenue, expenses, assets, liabilities and all the other financial aspects of a company. Rest assured good days are coming very soon.
GREGG consolidating debt.
Thank you for the private message agree 100%.
We are witnessing the facts of a historical turnaround of ICLD.
Once the remaining 15 or 16 million debt is converted to a preferred shares, the market will immediately turn north not just for short-term, but for long-haul.Buying low comes from an investment philosophy known as value investing. It's amazing to think about the fact of 70 million in debt two years ago, with only less than 16 million left management has done a great job so far. Loading more today patient is the key here.
100% incorrect read the recent 10 Q clearly stated quote..The Company may elect to reduce additional third-party debt in the future by converting such debt into shares of the Company’s common stock. The Company’s management believes that these actions will enable the Company to meet its liquidity requirements through the next 12 months. Once the ongoing negotiation is successful, they don't need to increase OS. Also clearly stated in a letter to shareholders Additionally, certain individuals are reporting false and malicious rumors of a potential bankruptcy.
Dave; most critical and excellent point.
It is between 15 and 16 million the exact number is not the revealed to retailers.
But it is one of the most critical point that we all should be focused on. If ongoing negotiation is successful, it will be a historical turn around fundamentally. The idea behind infrastructure model would be completely changed. Once the market to realize that a complete change has occurred, it would be a different ball game and a very positive impact on the stock immediately.
Happy Thanksgiving to all
Good news is coming be patient.
When Munro eliminates all debt service and interest accrual on the debt which he is working on, the company would become cash flow POSITIVE IMMEDIATELY on the spot. Don't even need another contract announcement. If it wasn't for the debt interest the company would have SHOWED 3 MILLION PROFIT IN Q3. I can't not imagine what the stock price would be once they announce that all debt is illuminated. It will take us back to the NASDAQ listing in less than a month. They're working on something real big those who can read knows that.
Don't take my word for it. read the recent Q, followed by eliminating over $15 Million of Subordinated Convertible Debt and Accrued Interest in Debt to Equity Exchange.
All I can say is tick tock tick tock tick tock.
Have they scooped up all the cheap shares yet?
Yup, those cheapies could be the diamonds in not too distance future If they play their cards right. Accumulate all these shares and then give the company a blood life (converting all the loans to preferred shares) take total control of the company, create a huge short trap call your other buddies to give them a few good contracts then Booyah Nevertheless, identifying a value stock has never been a cakewalk. In fact, when the market is weak, value investment is the way to go Value Investing is all about buying shares of companies whose market value is lower than its intrinsic value. ICLD is available at negligible prices in comparison to the stocks of similar companies IMO... Don't forget this paragraph from the last PR(THE COMPANY IS ALSO NEGOTIATING WITH OTHER CONVERTIBLE NOTEHOLDERS TO EXCHANGE THEIR DEBT INTO PREFERRED EQUITY).
Added more $0.003 come to Papa.
Nothing motivates investors to buy a stock more than a rising share price. Such situations can become self-fulfilling prophecies when a rising stock price attracts more investors, who are willing to pay more for the stock. Momentum traders buy stocks simply on the assumption that once an uptrend starts, it is likely to continue They don’t bother to find out why a price is moving up, or even what a business does.
The sad thing is X-service will be needed no more.
OR...You know who could be scooping the heck out of this move forward.
The noteholder themselves. from the other side of their mouth
Seeing that they have huge benefits by scooping all these cheap shares , and on the other side taking total control of the company. These financial sharks often have a vested interest in making company stock go up, as a result of their strategies, they will save the company from a death spiral in make millions not to mention how Munro is communicating these pipelines from contracts which he knows with them which is not classified to retail. They will also would be cheered on Wall Street as a heroes. Because it increases the value of their stock.....
Only a fool can be taking a SHORT HEDGE short position is not free. Margin interest can be a significant expense when trading stocks on margin. Since short sales can only be undertaken in margin accounts, the interest payable on short trades can add up over time, especially if short positions are kept open over an extended period. Not to mention if the tide turned that could be a financial suicide at this point.
Not that I discourage negativity, You don't seems to understand my point.
All selling pressure comes from dilution including Friday's.
But the 1.6 million shares were cross trade not dilution. Another fact proves that was its yellow color not red not green.
As for your OS I am basing my investment on one billion shares as so should others. Based on one billion OS, stock fair value is $.010
difference between a T-trade and a CROSS trade.
1. DEFINITION of 'Form T'-trade FINRA requires brokers to use for reporting equity trades executed outside of normal market hours in ICLD case, (dilution). Form T trades occur during extended hours - before the market opens and after it closes. The objective of the T- trade reports is to maintain market transparency and integrity.
2.A cross trade occurs when a broker executes an order to buy and sell the same security at the same time, in which both the buyer and seller are CLIENTS OF THE BROKER. A Cross Trade is represented by XT in the course of sales.
PS.. The increase negativity of the posts over the weekend is an excellent sign of( desperately wants your shares) which should be a big encouragement to buy and hold please don't fight them they're doing you a big favor.
so did I brother..No T-trade for the first time ever for the last 4 1/2 months.
Monday could be very interesting.
have a wonderful weekend.
1000% incorrect: the company could be cash flow positive immediately.The Company is also negotiating with other convertible noteholders to exchange their debt into preferred equity.ones that hit the market. BOYAA.up Trent 1000% immediately.
the market is patiently sniffing out dilution. Which creates excellent opportunity for retail we both know the return is huge Consolidating debt is the essence of success.
Cut unnecessary costs and free up cash
Identify the parts of the business that got the company into debt in the first place and attack them head on,
Incorrect 100%. Eliminate all subordinated debt the company becomes cash flow positive immediately that's
a FACT. How does the bankruptcy fit in here?
Eliminate subordinated debt, Q4 cash flow positive. Powerful ideas practical solution.
They are in negotiations with other convertible noteholders to exchange their debt into preferred equity that PR should become an out soon adding more to my position today.
A T- trade is prearranged 20% of the volume.
Most of us knows about about that. Mrs." Nostradamus"Unfortunately your psychic abilities will get you a Pokemon Gym Badges LOL..
you are consistent posting encourage me to buy more because you and I both know what is going on. Please continue.