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Re: None

Monday, 12/13/2010 3:38:21 PM

Monday, December 13, 2010 3:38:21 PM

Post# of 233823
Vote for one below (first impression counts):

The increase in volume including the increased (100k+) orders we see flashing by some times _AND_ the delay of PR are due to? :

1. Ken is buying back shares on the market.
The RR results are stunning and imminent SP increase the moment the public gets to know.
2. Ken is selling shares to fund further exploration on RR
The RR results are poor or promising, but Ken believes he missed the mineralization and is selling shares at higher SP to fund further exploration.
3. Ken is in negotiation for a JV; the RR results are good and Ken will release results and JV at once.
We remember Ken told us he would sell shares _only_ in case of a JV. So here it is.
4. Money knows we're good and is trying to (shake) accumulate as much shares as possible.
The shakes are not successful since the bulls are uber-strong low 06.

Anyone any points (scenarios) to add, please.


EDIT:

5. The results are so damn good and we have an OD in NEWFIE. Ken has lock-chained the office, everyone getting paranoid. Afraid of possible hostile take over and what not.
They all do not know what to do and remain silent. LOL

Volume:
Day Range:
Bid:
Ask:
Last Trade Time:
Total Trades:
  • 1D
  • 1M
  • 3M
  • 6M
  • 1Y
  • 5Y