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Took my ANDI position to 20M on the dip down to .014....which was seriously averaging up.
No need or desire to sell a single share below .25.....that Motorola Solutions market cap of $16B for a low-market smartphone company is one of the main reasons why ;)
Thinking more like .15-.25 on contract news...the likes of which the OTC has never seen ;)
Thinking more like .15-.25 on contract news...the likes of which the OTC has never seen ;)
Are we at .10 yet.....no, Ok will check back next week ;)
Have a great weekend ANDIers!!
Great close today guys!!!
Now that we have that pullback out of the way, before the arrival of no less than four catalysts (symbol change, contracts PRs, share structure reduction, Mobile World Congress, etc.) that we know of, we should be clear to run to the .10-.20 over the next few months.
Really wouldn't surprise me if we saw ANDI/UTOP trading in the .75-$1 by the end of Q3 2018 ;)
Thanks 136!!
Picked up almost 600k more today at .014 ;)
ASCM shorting this right now intraday......let's see if we can make him feel the pain ;)
Here we go
Yes sir.....just like the wider market that has been on fire the last year....ANDI needed a slight pullback before the run to .10+
See ya at .02 in PH.....L2 thinned out.
Going up!!!
Gonna go from .014 to .02 here very shortly
Agreed emz....by the speed of the descent in share price the last few days I am thinking the MMs were waaaay short the run up and too many retail traders were putting the "rent money" into ANDI over the last few weeks in hopes of a contract PR.
Oh well, the markets aren't for the feint of heart...especially in volatility like this.
And another 200k for me at .014......like shooting fish in a barrel ;)
Of course it will ghost.....any seasoned penny trader knows where ANDI is going and these pullbacks are just opportunities to fully load the boat before liftoff.
I didn't intend to buy any more but after the carnage the last few days I figured WTH if the MMs were just gonna give ANDI shares away.
Watch and behold how quickly this goes back up past .04 once the MM cover is over......wash, spin, repeat ;)
Filled 290k @ .014 to average waaaaay up........and thankful to shorty ;)
That's right shorty MMs....get your cover on....and come to papa ;)
Starting to look like I might have to average up, lol!!
Thanks Bean....must have missed that one but to be honest not paying too much attention to the boards this last week......just too confident in my ANDI INVESTMENT and focused on running my own business in the day to day.
Mike and his team have already proven to me they deserve my trust and patience to allow them to execute on the grand plan.
Gonna be a fun few months ahead ;)
Due, when is Mike's message in your post from? Today?
Thanks Jinbo. I know what I own here and I am willing to wait for a potential 5,000-10,000% gain from these levels over the next 12-18 months ;)
Yup, like I said the other day.....wake me when we are above .10.
Today's price action in ANDI was just silly...MMs used the negativity in the overall market to drive the share price down and steal shares from the impatient.
Don't get taken by clown MMs...you'll regret it within a few weeks.
That would be brilliant due!!!
Mr. Owen is sharp enough to recognize the opportunity in cheap ANDI shares....wouldn't surprise me that he is advising Mike the same.....maybe even funding it ;)
Anybody willing to admit they are trying to flip this right now?
Be very, very careful ;)
Great stuff jumpin monkeys...thanks for posting!!!
Also interesting is that the oracle article the other day stated the U phones were being tested by a "partner" in China....Utopya's twitter feed denied the Q2 release date, but didn't deny the phones were being tested in China by a partner....hmmmmm ;)
Great post and I agree with your general point that the $100MM in sales 2018 guidance could be conservative. Certainly with market acceptance we could see $250MM+ in full year 2019 and beyond ;)
FWIW, the only issue with the post is that you are confusing gross profit margin with return on investment (ROI). Gross profit margin is calculated off sales price (gross profit/sales price) whereas ROI is calculated off cost (net profit/total cost).
Eye opening post though ;)
Here here!!! Well said!!!
My comment about gaps filling was in the context of OTC trading....and they almost always do down here mainly because most of the news issued is fluff and 99% of the plays are pumps.
The other reason they get filled is because the easiest way an MM can pad their monthly P&L is by gapping pennies up whenever possible, shorting them at the top end of the gap and then covering as the inevitable "gap has to fill" technical trading crowd chimes in.
Let me be clear, I am very long ANDI, have been for over a month now, have never sold a single share, hold tens of millions of shares now and for the next 12-18 months, believe ANDI is part of the penny 1% that is destined for MASSIVE SUCCESS AND THE BIG BOARDS, and think Mike and his team have so far operated in the most capable, transparent manner. As a CEO myself I appreciate that.
I just feel that by issuing the PRs pre-market or AH we are allowing the MMs to steal profits that should be ours.
Gaps aren't helping either.....flippers buy late in the previous day and see a gap up and know to sell at the open as it will most likely fill.
Prefer PRs to be issued during trading hours to avoid this development unless it is contracts PR that would cause a breakaway gap (one that never fills).
Starting to think the $100MM in revenue estimate for 2018 might be a little light if they are able to ship phones by early to mid Q3 ;)
Close over .04 today...catch u guys in PH.
Agreed Pepsi....no concerns here at all.
Just a waiting game. I run my own business so most of the time have other things to attend to but totally comfortable letting my fairly significant investment (~$60k) ride here ;)
The market is forward-looking so as long as we get distribution contract announcements with verifiable sources the share price will be off to the races WELL BEFORE THE U PHONES ARE AVAILABLE FOR PURCHASE.
Couple new tweets out
https://twitter.com/utopyatech
That's saying something given there was some BS company out of Belize a few years ago that achieved a $6.5 BILLION MARKET CAP ;)
Thanks for posting TD....this is exciting stuff
Agreed due...just wish management would stop with the pre-market/AH PRs.
Lol, spot on Stewy. We'll recover but we have to try to stick to issuing PRs during trading so as not to create these damn gaps!!