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Re: Mike_Canada post# 27194

Monday, 11/08/2010 11:18:32 AM

Monday, November 08, 2010 11:18:32 AM

Post# of 46159
I agree with you Mike... as I believe that dilution was to conserve cash for this cash strapped company and they do that! So if they bought parts with stock and the negative posters ran a gamut to get a higher amount of stock than they deserve and blame -schmidt- and forced his keypad (i.e. pen/pr) to quiet or they would demand cash. anyway that was my theory behind the fraud i discovered on this board as my trading strategy over the last couple of months moved my 50000 shares left at .03 to flip on the way down to over 500000 (ten banger) at .043 plus my profits i took out at .03- .034 anyway to the point of the supposed fraud on the board that i found while flipping one day some one reported shorts that were not shorts but shares i had bought with a code in the numbers and i found that the short was actually how many shares that poster had sold and in turn was short. nice scheme... ya think ? any way here we are just short of the target price they were after .0035 and I am still waiting for news to put sideline profits back in and my broker is happy and i have learned more about the goings on of the company than I ever imagined. So will it return to .04??? Time will tell looks like jack monsoon has stopped posting for a while and the dilution stopped cold. My theory of parts for stock means that the ng order may be full (pure spec hypothesis) I expect around 2 mil rev/recievable on the Next Q any more? good. some debt paydown (10% or more good) the big question is are there any new big contracts.... That would send this to .10 imo .04??? without a new contract??? maybe .03 imho
bottom line no dilution = upward pps at this juncture period.
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