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Re: liable post# 19419

Friday, 07/28/2006 8:57:10 AM

Friday, July 28, 2006 8:57:10 AM

Post# of 169279
Actually I will answer the question of being a trader or broker for you. You are not and this should be enough evidence to prove it. You can only sell 1% of your shares under Rule 144 AFTER you have been restricted for 1 year. Rule 144 has NOTHING to do with insider trading that is a Form 4.

Read up.

http://www.sec.gov/investor/pubs/rule144.htm

And since your not a financial advisor or broker they will NOT give you information at that number you posted at the bottom. Anyone try it. Give it a call if you are not with a financial firm they will refer you to a number in Washington D.C. with a 202 area code. Thanks for the suttle bashing comments that has just been proven false.

Would you like to play again?

CALL or PUT at your own risk. I offer opinions and nothing else. Good luck.

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