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Re: Pavlik post# 63436

Monday, 04/27/2015 12:10:30 AM

Monday, April 27, 2015 12:10:30 AM

Post# of 112560
Pavlik, and others like me: I don't blame you for unloading. It's just really scary for me too. But I have taken this opportunity to load up in a significant way. I might be wrong, but here's my take:

2014-12-01 Share Structure(Courtesy Trader Jake #58331):
A/S: 2,986,999,994
O/S: 1,948,413,801
Restricted: 559,066,751


2015-03-27 SS(Courtesy of Trader Jake #62601):
A/S: 2,986,999,984
O/S: 2,551,413,081
Restricted: 712,066,751
This 2015-03-27 SS is concurrent through today, according to postings on Board.

Roman Numeral One:
During this time period:
Common Stock shares increased by 600,000,000+.
Restricted Shares increased by 153,000,000.
PPS plummeted from .0017(12/01) to .0007(03/27).

Roman Numeral Two:
DSCR dumped shares into the promotion(the sponsors and where touted, I still cannot trace down), of Jan. the 2nd through about the 12th, according to pps spike and volume of trades, and pps collapse with volume, during time period. This action has had a horrible snowballing effect through 2015-04-24.

Roman Numeral Three:
1)The 'To Da Moon' crowd moved on very quickly after the promotion/dump. 2)More sincere people got left holding the bag. These are the ones who, until recently, have been continuing to take their losses, selling, and move on. More shares re-entering the float brings down pps.
3)Now I see good folks, longs, who are scared and now selling. This further exasperates downward pps pressure.

Roman Numeral Four:
Since 2015-02-25 (Courtesy Trader Jake #60923), SS has not changed (from then through today) one iota:
A/S: 2,986,999,994
O/S: 2,551,413,081
Restricted: 712,066,751
Therefore Inference from Roman Numeral Four: There is No Dilution! Also, No Further Promotions, which I like! Moreover, the recent extremely light volume indicates that there can be No Significant Insider Selling ---IMO, it could not even be supported.

Now, could the bottom fall out, and the worst case scenario take place? Yes, but I just don' see it. Roman Numeral Five:
1) the 2015-04-16 PR Was the fluffiest thing I've ever read. There was absolutely No reason for it. Except for one very important, critical, non-negotiable, need I go on? statement. This statement was, IMOO, the only reason for the PR: " Discovery will also advise shareholders when delivery of the seed to the Utah facility for packaging and distribution is completed." This was their message to us, telling us that there will be more seed sales, more profits coming in, higher share price, completion of harvest sales, higher share price ... if we can hang on. And I Know (sort of) they don' want us to sell and they gave us a very good reason why. Here, in short, you have DSCR telling us in a way that has deniability, that they know pps is gonna go up. Hence, no worse case scenario.
2) The J/V with AB AGRO renewal: Would the contract be renewed if 2014 was a total bust/and/or DSCR did not learn One Thing? This is surmising, as I have also heard that AB AGRO is some how a part of DSCR. I cannot find the source ... maybe deleted? If it's not related and it is renewed, this renewal would be good news also.

Last, everyone must do the best for their own portfolio. But I have been accumulating. I wish I had more than 60 million shares. But the last two months have been a good time to get more than half way there for a lot of people. At .0004, this is an incredibly good buy ---to me only.

Comments especially welcome. I need them. LONG DSCR