IMO:
1. Nakuhiva
Re: NEOM, N/A cause of P/S > 75, plus I don't like Tobin Smith Pump/Dump. Got in a portion of the (up to 0/7's?) ride, and I'm now out.
Re: NMKT, I like it. But, not TS pump/dump, and Cornell involvement. It's why I got out of it (same as MOBL). If you are lucky, it could work as a relatively safe short-term valley to near peak play (same as MOBL, and NEOM).
Re: GTRE - As a good value Energy stocks, I like other stocks better, i.e., ICO (I'm is since $8.37 average), and ESLR (I'm in since low $2's).
Re: SPZI - sorry, let's stay out of pinkies.
2. Dsp, if you enjoy doing your homework, you'll have plenty to do.
3. Smoke,
Re: MBAH, high risk, worth a gambling game. I just got in @ 0.01. Same, IVGA. Check it out. I'm out, but might get back in if I can @ < 0.0015.
GWNI - P/S = 0.77. On the surface looks good. First concern: being a Nevada Co. It deserves some detailed DD.
4. OTC
Re: UCPJ, at the surface looks good. Deserves detailed DD.
Re: SYTE, P/S > 3, declining revenue. N/A
Re: ADVC, OS = 3.3B, if you are lucky a fast in/out might work. Long-term, danger of a large R/S. If gambling, in the same price range I prefer: IVGA
Re: GWNI, looks good - see above.
5. Doug,
Re: WAVX - you are right. I'll pass it. P/S > 49, EPS negative, low (slow growing) revenue, large debt. Compare it with say: GDVI, or VFIN.
Mike