Convertible debts dilution / their latest 10Q / manipulation / bashing / R/S followed by a dump and fear / failure to deliver a real estate closing.
all this combine created tons of weak hands and fear alone dropped this stock to trash. however, the reversal has begun on it.
I predict 0028-003 tomorrow before 945am EST followed by a profit taking plunge (27% monday/70%gain today). 003 was thought to be a floor, lots of people bought in, they will sell at first chance to break even after seeing -70%+ for weeks. Dump will take to about 0018-0023.
Thursday opens in red, big players load and let this rip. will be around 008-0.01 before the MM's decide if it's going to have another 0007 to 55cent run it previously had or burn everyone that thinks that.
either way, with 10k to invest, I cant risk a dump while im not paying attention and getting burned. therefore , I slapped 13m 5-7s today and decided to invest where volume, charts, and legitimacy coexist. guess today was a good day to do that seeing how there was randomly a buyback tweet. feeling pretty good:)