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Re: None

Thursday, 03/02/2017 11:08:48 AM

Thursday, March 02, 2017 11:08:48 AM

Post# of 61601
I think there are multiple issues here:

Some that bought sub .0175 are taking profits.

Shorties, fearing earnings release uptick are getting the flock out. I would not want to be short at ER.

Longs are loading up.

The ER will tell a lot. Can't help but be good news, as the financial picture continues to improve.

With 6.5 m shares now ($0.0175 avg), I'm obviously a long. But, if it does manage to get back under $.0175, I'll pick up another 500k.