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Re: im a survivor post# 13831

Wednesday, 10/25/2006 7:07:43 PM

Wednesday, October 25, 2006 7:07:43 PM

Post# of 27673
survivor, I'm not upset in the least. I am simply pointing out what I personally know first hand as being true. I have personally spoken with the TA, with TDA, and have verified with both sides what has been requested, and what has been sent. I can't speak to Scottrade or to the other two brokers, as I don't know who they are. I can only take the word of donnelly on them being non-compliant. He has proven to me that TDA has failed repeatedly to supply him with the requested information, as well as TDA themselves verifying they have not complied. You suggest filing complaints....I have 22 seperate complaints on record with the SEC since May 19, 2006. Each involving TDA for failure to supply requested information that is rightly due me or the Transfer Agent. I have been called by the SEC on 4 seperate occasions to answer questions. They in turn refused to answer all but one question of mine. The only question I received an answer to was "Is there an investigation involving TDA and the restricted shares from JPHC/PAIV/PAVC" Their response was " We are fully aware of the issue and are currently investigating the concerns presented to us. We will not comment on an ongoing investigation." Now, as for the company, I agree with you on that 100%. I feel the company should step forward and speak to this. I certainly feel there is "something" amiss here. The company being completely removed from this and completely transparent tells me they either don't care, or they are somehow involved with a back room agenda. Who knows. Other companies are stepping up and challenging the brokers and mm's...why not our company? I for one will keep compiling information..sifting and sifting...sooner or later it will all surface.

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