InvestorsHub Logo
Followers 3
Posts 104
Boards Moderated 0
Alias Born 10/02/2014

Re: None

Friday, 07/10/2015 10:47:09 PM

Friday, July 10, 2015 10:47:09 PM

Post# of 48867
Someone correct me if I'm wrong here, but isn't this exactly what happened with the NY Times article?

Share price rises for a week or so in anticipation of the article, tumbles just before the article comes out on news of convertible debts paid, bounces and falls for a couple of weeks, hits the 50 day MA and then starts climbing again.

RSI has only been this low once since March 10th.

Has anything changed here that I'm unaware of? Anything that might explain why this stock was worth $.09+ weeks ago but is not worth $.09+ now? Because I have seen nothing but positive news. Unless...I missed something?

Last month I put my money on this stock punching up through $.09 again and I think I'm about to do that again this week. Maybe even Monday. If it was worth $.09+ on April 15th, why would it not be worth at least that much now?

Anyone?