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Re: birdys3333 post# 36160

Thursday, 09/25/2014 10:51:24 AM

Thursday, September 25, 2014 10:51:24 AM

Post# of 40789
For starters SEC does not handle TICKER change that is done through FINRA!

SEC can not disclose ongoing investigations with FINRA---As long as there were no out standing CRA's or obvious insider trading--There would be nothing to stop ticker change.

Ticker change is very simple--Unless the company is SHOUTING TO INVESTORS-HEY! ALL INSIDERS ARE DUMPING SHARES.

YOUR INFORMATION IS WRONG!

SEC suspends known scams --- When the PPS suddenly spikes upward--Not steadily dropping.

They suspend trading to protect the people WHO MAY INVEST----NOT FOR THE ONES ALREADY INVESTED.

GLTA