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Re: goob83 post# 46663

Tuesday, 10/12/2010 7:00:24 PM

Tuesday, October 12, 2010 7:00:24 PM

Post# of 58465
Attention Future Shareholders

Hi goob

Good Evening everyone. I will be updating the IBOX soon

This is what i expect.

1st.) imo we traded around a 100 million shares in the last 2 days. So I expect the Float to be around 45-60 mill currently. Yes Very small.

Lot's of these shares were shorted and covered so it may even be closer to 35-45 mill.

IMO, there is a great chance of a collapse in share price between Dec-15-Jan7th

I posted a sticky about it. Now even if were all prepared for this drop everyone should get shares sub .01 because the drop will be alot of shares at once like these past 2 days.

I encourage all who are going to participate IF this event occurs have there cash ready around that time frame.

I discourage anyone from pumping this on other boards Everyone cannot participate or we will get that odd mid level drop price.

Only the select few that are here everyday should be involved.

Now If this does happen here is what i suspect. We will see another 8k on a Friday eve A/H and a PR the following Mon. same setup as this week. The A/H 8k will be about the re-evaluation of preffered shares unsecured shares and warrants etc....

Once the Re-evaluation occures it will allow financiers to sell there shares because the O/S goes up, which gives them room to sell based on not becoming more than 4.75% owner. The reason we see the quick drop is 2 reasons. 1.) The faster the converts the more money they make, and 2) it allows them to cover at the bottom using another financers shares.

There are other reason too that we can all discuss moving forward.

Now IF the drop does occur i will ask everyone to refrain from buying right when we dip below .01. I am targeting a drop and bounce from .001

.001-.003 Will be the Oversold territory. I would suspect .001 will be break even for the financers but we touch there because of the massive Vol in the initial drop.

We will have imo 1 shot at getting this right before word gets out and a huge rush occurs to buy shares. I expect a quick bounce to .006-.01 area as well for a huge quick profit. Flippers will then drive it back down to the .004-.005 area where a base will prob form. Then we begin our long wait/march.

There will be all kinds of runs after this is completed. Everyone should be able to recoup all of there investments. I will at some point sell 1/4 to 1/2 of my buy too. I will be riding free Genta shares the rest of the way after all the hoopla and the first run begins.

I expect after the collapse the float will be around 250-375 Mill or Less. It will be very low and respectable. Through the course of the first 6 months of 2011 we need to keep in mind a new finance deal will be negotiated and prob 500 mill new shares will get dropped on us. A Hugwe Run will occur before the new shares get dropped imo.

Now if Agenda smack a homerun in early 2011 it will be a great run in the first 6 months.

Regardless of what happens after that, I expect everyone to play it safe and get your money back so we can all ride free shares that genta owes us, and relax and keep our fingers crossed that we hit the Grand Slam.

Time to start preparing is now, but please do not Pump this or none of us will get our .001-.003 shares.

1 more thing. Keep an eye on institutions. If they start adding a huge run is going to occur. Especially Baker Bros

Have a great evening

Smitter SMTT



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