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I expected volatility, but how about some in the other direction? Little more than I expected, although looking at the chart, and I am no expert, looked like it could fall back to 15.80-16.00. This will be up soon enough. Hold long and don't sweat the day to day stuff!
Yah think? LOL. Volatile indeed. I am confident that this company will be making money hand over fist through the next calendar year. Should be safe for a 20-30% gain over that period with LOTS of dips along the way. Could be nice for swing and day traders. Good luck!
0.29 EPS is the number from the CC(did not participate, but read from multiple reputable places) Numbers have been all over the place by analysts. There should be clarification tomorrow. Hold tight. I got shook a little yesterday, but was able to scramble and end up with more shares than what I started with. Volatility is high. Buy on the dips. Take some profit along the way.
Surprised this has hovered at 18.38 since opening bell. Thought there would be more launching power. Maybe everyone is content to see the numbers after hours. Just afraid of the sell the news part of this tomorrow. Was hoping to see it push 19.00 today. Still early though.
Fins due today AH's. Anything over .24 and KABOOM!!!
Expect .90 break next week. Loaded up some more on the usual Friday, end of week, dip.
Bought in today. I have followed this stock for over 2 years. Should have got in a couple days ago, but foolishly waited for a dip that didn't come. Confident it will see over $1 in the next few weeks. Will be interesting to see how high it will go. Still quite early for it to rocket as results and stages still need to be accomplished over the next couple of years, but so far things look very promising.
Nicely put!
"viewership in the multi millions daily. best pump money can buy. FYI, it's a website. it's on that internet thing you've been hearing about. MIMV"
These are your words Joe back in January, 2013 to 236 (Post 6308):
"You're wayyyyy off with this statement, but nice try ...."
"the MIMV 1st qtr 10q will show signficant losses for the quarter"
I like what I have found regarding MIMV, and I continue to hold my shares, but you were wrong in that post. The key dates are the June launch date and the July 4th launch date and the 2nd qtr 10Q.
By the by, you also wrote a few messages later:
Do you even know how to calculate earnings ? Net income divided by O/S. There will be NO significant loss in Q1 and there could be a profit.
I know the six figure deal is on the next 10Q. Just trying to keep the faith this is headed way up.
No worries. Just backing up Irish in what he was seeing. No sense watching this day to day. Sock it away and see where it is in a few months.
Yep, and 70000 just traded at .23 and the ask drops to under .23. Been seeing a lot of that nonsense lately on MIMV.
Up 10.4% since a week ago. sweet!!! Could meet some resistance at 1.09 and 1.15. That's alright. In for the long haul. Manny is the man!!!
Sweet!!! I left for about an hour and checked my e-mail and just got your message. Good luck to all of us!!! Tomorrow should be fun!!!
Bastards drop it from 0.99 to 0.96 on next to no volume in the last few minutes. It shows my 1130 buy as a 600 and 400 at 15:52:42. I don't get it. In for the long haul, but I'd have rather seen +.04-.06 today and then springboard to the teens over the next few days. Oh well. It'll get there. Manny has succeeded every time before. This will payoff big time down the road also.
Why? The PR doesn't say anything, nor can it. If they say they believe there is an error in the accounting of damages and that they should get hundreds of millions more, that could constitute stock manipulation. The fact they state that the lawyers are going over it seems to be the company's way of saying we can't say anything, but something does seem amiss, so play it cool.
It's "jurors" not "juries". Careful who you call moron. Better a fool keep his mouth shut and appear wise than to open it and prove otherwise.
This is old news from Oct 5. Be real. Don't pump.
I was thinking the exact same thing. Stocks are speculations to the future as to being profitable and making money or not. The street has to see this win as a precursor to future settlements and filings. I'm a realist. I'd love to see $15 or $30 or more per share, but short term I see this around $6-$7 and will continue up with a few bumps in the road due to appeals and such. Been in and out of this a few times. I'm all in now. Will sell a few and keep a few. It's all about locking in profit and letting your money work for you.
Mixed emotions for Monday. Day off - good. Dentist appt - bleh. YIPI should be good for a nice early gain and then settle up .04-.08. Thinking the range will be a high of 1.12 and settle around 1.03. Purely guessing. Like the news. More confirmation of great developing company. Like that our new board member has a history of working with acq. and mergers in the computer industry.
Got in at .51 yesterday. Nice move the last couple of days. Interesting play here. Could be huge.
Put in for 4888 shares at .83 at noon CDT. Bid/ask then dropped from .85/90 to .83/88 a few minutes later and some shares sold at .83, but I did not get filled. Slept in too late to grab some .75 or thereabouts. It may take a couple weeks to get a big jump, but I am more convinced that this is a keeper. Long and strong!!!
Robert F. X. Silverman web info FWIW:
http://quicktake.morningstar.com/stocknet/allnews.aspx?symbol=ckxe
http://www.bloomberg.com/news/2010-11-04/mgm-fx-luxury-innkeepers-yellowstone-acorn-bankruptcy.html
http://investing.businessweek.com/research/stocks/private/snapshot.asp?privcapId=134391960
http://www.docstoc.com/docs/80838999/Management-Llc-Colonel-Holdings-Inc-Colonel---CKX----6-2-2011
http://www.reuters.com/article/2011/06/22/idUS110222+22-Jun-2011+BW20110622
http://www.secdatabase.com/CIK/1520360/Company-Name/COLONEL-HOLDINGS%2c-INC.
Bought in a larger position on Monday. Missed the low of the day, but happy with buying more at .71. I expect a few more ups and downs in this without coming near the $2 mark for a while, months, if at all. But it makes for a nice swing trade from time to time. I still intend to keep a long position on this. Nothing wrong with profit taking in the interim.
Because DFLY said he spoke to the CEO when it started to tank a few days back and said he was going to put out a PR that there was no SS change, etc. It happened the next day exactly how he said it would. DFLY has followers and we know him to be quite truthful, even though he is a bit of a cheerleader too much, but God love him, he's on the up and up. You say you talked to the CEO but cannot say what it was about. That is a load of crap. You are not under a gag order. Unless you would be admitting to insider trading by saying what you talked about, it would be no big deal to say what was said. Seems rotten in Denmark, dude. Just my 2 cents worth. Keep the change!!! No animosity intended. I just seek truth and reward$$$$!!!!
Changed my order from .93 to .69. Pure guess, no real reason. Misses it by THAT much!!! URGGGHHH!!!
Not expecting a gap either. I just wouldn't be surprised to see a dip back into the .90's. If it happens, I double down. It has happened twice. Could happen again. It could bounce off the 50 day MA of .68, who really knows. If your long, you cannot worry about the dips. If you do, then try to play the swings.
Sweet. Does that mean I'll have to call you boss or partner??? LOL
The big squeeze was what ran it up Monday and Tuesday, I think. No idea what sets it off again. Looks like 1.24 is a resistance point as is 1.54. We have broken 1.24, yet staying above it is a key. We break 1.54 and with some buying pressure, it could/should run to $2 or more. Looks like a pennant is forming on the chart. I'm used to seeing this form over a couple weeks or more, not a few days. The highs get lower and lows seem to be a bit higher. RSI is at or below 50 depending on if you look at 10 day, month, 3 month chart. Need to get to the power zone, above 70. Like any run, it needs buying pressure. The way the pennant is forming, it could get interesting midweek next week. With such a low float, this thing moves both directions mighty easily. Probably why indicators are showing a big move mid week next week. Big move, though could be down or up. I'll do my part and buy a bunch.
Will be doubling down on the A.M. dip on Monday, as I think we can count on MM's to try to drop this further before she erupts. WIll be targeting .93 on the dip. Expect to see 1.40 by late Wed or Thurs. Last time I doubled down at 1.20 we went to 2.34. Here's to it happening again!!!
Props to DFLY for his post yesterday stating he talked to Granvile, CEO, no change in stock #'s and to watch for PR. I know you are a straight shooter. That post and the PR today helps to prove it. Thanks DFLY!!! Long and strong on YIPI!!!!!
Keep the positive energy flowing brother!!!!
Fibonacci retrace from EOD yesterday to where this run started around .25 meant 66% drop to about .93, which it did today, obviously. To bounce a normal 33% would put it at 1.37 roughly, which is where it is now. What will be interesting is if we break through here and can get towards 1.50 or better. If so, tomorrow could be holding at close of today or better. If we stay here in the 1.30's, could be a battle that tilts towards the bears. Keep chugging YIPI. I believe. I believe.
Thar she blows. Long and strong. Gulped hard but didn't blink. Just wish I had some dry powder.
I think so. Not much activity in 3 hours, except for that quick buying spree sent it to 2.34. Half-a-mil traded in the A.M. 2M of 8M float traded in less than 3 days. I still think this thing has a loooooot of legs.
Blastoff indeed!!! New HOY!!!
And new HOY!!!!!
2.17 x 2.18 YIPI!!!!!!!!!!!!
2.14x2.15 :)
How about over $500 like google is now. Live the dream. Dream to live!!!