Replies to post #91737 on Triple 000 and Sub-penny Chart Plays
MARKET MAKER SIGNALS
Penny traders believe that Market Makers (MM)
will "signal" moves in advance buy using
small amounts of buys or sells as "signals".
The "signals" are such a small amount of shares
(worth no more than 5 or 10 dollars) that
no trader would have paid a commission that
costs more than the amount of shares bought.
The "signals" are from one MM to another.
100 - I need shares.
200 - I need shares badly, but do not take the stock down.
300 - Take the price down so I can load shares
400 - Keep trading it sideways.
500 - Gap the stock.
This gap can be either up or down,
depending on the direction of the 500 signal.
911 - Pending News
Understanding the Form T-Trade:
If a market maker wants to accumulate
a large amount of a stock in one trading day,
that market maker may actually not report
any of the trades that occurred
until the trading day has ended
so as not to alert the market to the collection.
http://investorshub.advfn.com/boards/read_msg.aspx?message_id=120820833&txt2find=understanding
MARKET MAKER SIGNALS
Penny traders believe that Market Makers (MM)
will "signal" moves in advance buy using
small amounts of buys or sells as "signals".
The "signals" are such a small amount of shares
(worth no more than 5 or 10 dollars) that
no trader would have paid a commission that
costs more than the amount of shares bought.
The "signals" are from one MM to another.
100 - I need shares.
200 - I need shares badly, but do not take the stock down.
300 - Take the price down so I can load shares
400 - Keep trading it sideways.
500 - Gap the stock.
This gap can be either up or down,
depending on the direction of the 500 signal.
911 - Pending News
Understanding the Form T-Trade:
If a market maker wants to accumulate
a large amount of a stock in one trading day,
that market maker may actually not report
any of the trades that occurred
until the trading day has ended
so as not to alert the market to the collection.
http://investorshub.advfn.com/boards/read_msg.aspx?message_id=120820833&txt2find=understanding
Tuesday Update
Posted on July 5, 2016
LONG TERM: Neutral
MEDIUM TERM: uptrend probably underway
SHORT TERM: gap down opening, DOW -109
The market gapped down at the open
for the first time since the beginning of last week.
Then the market put in a double bottom by 3pm
and rallied into the close.
Today the market also put in a double bottom by 3pm
and rallied into the close.
We can now count four waves,
with a fifth possibly underway,
from last Monday’s SPX 1992 low:
2027-2016-2109-2081-2091 so far.
An impulsive advance if it hits 2109+
or corrective if not.
Short term support
is at the 2085 and 2070 pivots,
with resistance at SPX 2111 and SPX 2121.
Short term momentum
hit oversold today
after last week’s extreme overbought condition.
Best to your trading!
The Point of Maximum Financial Opportunity !
"The Price Pull-Down"
> What it is.
> What it means.
> What it looks like.
* They are "Big Percentage Movers",
and they can be "Life changing",
for the trader who has BIG money in them at their lows.
* They can produce "10 and 20-Fold moves".
* Price "Pull-Down"
where the price falls HUGE over a relatively short period of time.
* All "you" need to remember,
is that with ALL "pull-downs",
the "accumulation" starts.
This is just the first step!
* "Price Pull-Downs" are OTC game stock.
They hover higher for months and months,
with NO retail interest or volume.
* The insiders "pull the price down",
for the funding of their operations,
by increasing the "shares outstanding",
and the "authorized shares",
and when the price of the stock,
reaches the price level,
where the "VC"s want to "Buy",
the stock finally bottoms,
and you then see the accumulation.
* Most every stock "pennylanders"
like these types of stocks.
There is another term
for trading these "OTC sub" & "Micro stocks".
"Bottom feeder" stocks.
* The accumulation is "Bottom Feeders" moving in.
"Venture Capitalists"
* They Load at both,
the 0.001 / 0.002 Sub-penny,
and 0.0001 / 0.0002 Trips Levels.
* Their Plan:
To Sell at:
High Penny Levels !
High 0.00 Levels !
High 0.000 Levels !
Educational Post - Dilution
Authorized Shares,
has no bearing on the price.
The "Shares Authorized",
is not used in any fundamental of financial calculation,
to determine company value.
OTC companies only have two things,
stock for sale and stories of progress.
Dilution:
when the company moves shares from the A/S (authorized shares)
to the O/S (outstanding shares) or tradeable inventory,
for cash investments in the company.
This means there are more shares
at the same market price
and reduces the size of the EPS.
It doesn't reduce the price or value of the stock.
But many pennylanders think it does.
Dilution
doesn't change price, it changes EPS.
Creating loss in company value, not stock value.
Hardly 1 in 1000 OTC companies have an EPS to effect.
So, dilution can't effect their company value in the first place.
What's the value of no earnings, thus no EPS.
On the OTC, "dilution" is the best news one can hear !
Not only does it give the company a chance at growth,
it doesn't effect their EPS value one bit.
They have no EPS to effect.
Plus, every time VCs get there hands on large amounts of shares,
they buy a run, and we can trade for profits !
So, "dilution" is a win for the company,
a win for the Venture capital firm,
and a win for the educated pennyland trader,
on the OTC.
Stocks of many start-up companies,
bottom at the "Sub-penny" price level,
before they begin their meteoric rise.
"Venture Capitalists"
like to buy the shares of these companies at these low levels.
The Point of Maximum Financial Opportunity !
From the Trips and Sub Pennies
to Subs to Pennies,
they are "Life Changers"
Most are Slope Plays
MARKET MAKER SIGNALS
Penny traders believe that Market Makers (MM)
will "signal" moves in advance buy using
small amounts of buys or sells as "signals".
The "signals" are such a small amount of shares
(worth no more than 5 or 10 dollars) that
no trader would have paid a commission that
costs more than the amount of shares bought.
The "signals" are from one MM to another.
100 - I need shares.
200 - I need shares badly, but do not take the stock down.
300 - Take the price down so I can load shares
400 - Keep trading it sideways.
500 - Gap the stock.
This gap can be either up or down,
depending on the direction of the 500 signal.
911 - Pending News
Understanding the Form T-Trade:
If a market maker wants to accumulate
a large amount of a stock in one trading day,
that market maker may actually not report
any of the trades that occurred
until the trading day has ended
so as not to alert the market to the collection.
http://investorshub.advfn.com/boards/read_msg.aspx?message_id=120820833&txt2find=understanding
Wednesday Update
Posted on July 6, 2016
LONG TERM: Neutral
MEDIUM TERM: uptrend probable
SHORT TERM: gap down opening then rebound, DOW +78
The market gapped down at the open today
for the second day in a row.
Something it hasn’t done
since the Brexit vote two weeks ago.
After opening below yesterday’s low
the market traded down to SPX 2074
exactly when Europe closed for the day.
It then rallied to 2101,
its highest level of the week.
The rally from SPX 1992-2109
does look impulsive after all,
and the recent pullback corrective.
As long as SPX 2074 holds,
the next leg up is underway.
Short term support
is at the 2085 and 2070 pivots,
with resistance at SPX 2111 and SPX 2121.
Short term momentum
displayed a slight positive divergence
at today’s low,
then rose to overbought.
Best to your trading!
Thursday Update
Posted on July 7, 2016
LONG TERM: Neutral
MEDIUM TERM: uptrend probably underway
SHORT TERM: higher open then rally fades, DOW -23
The market opened higher today,
rallied back to Friday’s SPX 2109 high,
then pulled back for the rest of the day
before rallying into the close.
Looks like an overhead declining trend line has formed:
SPX 2121 uptrend high,
SPX 2113 pre-Brexit high,
and SPX 2109 post-Brexit high.
The rally from yesterday’s SPX 2074 low
was not able to break through that resistance today
when hitting SPX 2109.
SPX 2100+ continues to be formidable.
Short term support
at the 2085 and 2070 pivots,
with resistance at SPX 2111 and SPX 2121.
Short term momentum
declined after getting quite overbought.
Best to your trading!
The Point of Maximum Financial Opportunity !
"The Price Pull-Down"
> What it is.
> What it means.
> What it looks like.
* They are "Big Percentage Movers",
and they can be "Life changing",
for the trader who has BIG money in them at their lows.
* They can produce "10 and 20-Fold moves".
* Price "Pull-Down"
where the price falls HUGE over a relatively short period of time.
* All "you" need to remember,
is that with ALL "pull-downs",
the "accumulation" starts.
This is just the first step!
* "Price Pull-Downs" are OTC game stock.
They hover higher for months and months,
with NO retail interest or volume.
* The insiders "pull the price down",
for the funding of their operations,
by increasing the "shares outstanding",
and the "authorized shares",
and when the price of the stock,
reaches the price level,
where the "VC"s want to "Buy",
the stock finally bottoms,
and you then see the accumulation.
* Most every stock "pennylanders"
like these types of stocks.
There is another term
for trading these "OTC sub" & "Micro stocks".
"Bottom feeder" stocks.
* The accumulation is "Bottom Feeders" moving in.
"Venture Capitalists"
* They Load at both,
the 0.001 / 0.002 Sub-penny,
and 0.0001 / 0.0002 Trips Levels.
* Their Plan:
To Sell at:
High Penny Levels !
High 0.00 Levels !
High 0.000 Levels !
Educational Post - Dilution
Authorized Shares,
has no bearing on the price.
The "Shares Authorized",
is not used in any fundamental of financial calculation,
to determine company value.
OTC companies only have two things,
stock for sale and stories of progress.
Dilution:
when the company moves shares from the A/S (authorized shares)
to the O/S (outstanding shares) or tradeable inventory,
for cash investments in the company.
This means there are more shares
at the same market price
and reduces the size of the EPS.
It doesn't reduce the price or value of the stock.
But many pennylanders think it does.
Dilution
doesn't change price, it changes EPS.
Creating loss in company value, not stock value.
Hardly 1 in 1000 OTC companies have an EPS to effect.
So, dilution can't effect their company value in the first place.
What's the value of no earnings, thus no EPS.
On the OTC, "dilution" is the best news one can hear !
Not only does it give the company a chance at growth,
it doesn't effect their EPS value one bit.
They have no EPS to effect.
Plus, every time VCs get there hands on large amounts of shares,
they buy a run, and we can trade for profits !
So, "dilution" is a win for the company,
a win for the Venture capital firm,
and a win for the educated pennyland trader,
on the OTC.
Stocks of many start-up companies,
bottom at the "Sub-penny" price level,
before they begin their meteoric rise.
"Venture Capitalists"
like to buy the shares of these companies at these low levels.
The Point of Maximum Financial Opportunity !
From the Trips and Sub Pennies
to Subs to Pennies,
they are "Life Changers"
Most are Slope Plays
MARKET MAKER SIGNALS
Penny traders believe that Market Makers (MM)
will "signal" moves in advance buy using
small amounts of buys or sells as "signals".
The "signals" are such a small amount of shares
(worth no more than 5 or 10 dollars) that
no trader would have paid a commission that
costs more than the amount of shares bought.
The "signals" are from one MM to another.
100 - I need shares.
200 - I need shares badly, but do not take the stock down.
300 - Take the price down so I can load shares
400 - Keep trading it sideways.
500 - Gap the stock.
This gap can be either up or down,
depending on the direction of the 500 signal.
911 - Pending News
Understanding the Form T-Trade:
If a market maker wants to accumulate
a large amount of a stock in one trading day,
that market maker may actually not report
any of the trades that occurred
until the trading day has ended
so as not to alert the market to the collection.
http://investorshub.advfn.com/boards/read_msg.aspx?message_id=120820833&txt2find=understanding
Friday Update
Posted on July 8, 2016
LONG TERM: nearly uptrend
MEDIUM TERM: uptrend
SHORT TERM: gap up and go day, DOW +251
The market gapped up at the open
on a surprising monthly Payrolls report.
After about an hour of trading
the SPX cleared all the resistance levels
noted yesterday.
In fact
the SPX rallied to its highest level
since June 2015.
With the WROC signal last week,
suggesting an uptrend was underway,
and an uptrend confirmation,
today looks like a game changing event.
Lots to cover in the weekend update,
plus some count upgrades.
Best to your weekend!
Friday Update
Posted on July 8, 2016
LONG TERM: nearly uptrend
MEDIUM TERM: uptrend
SHORT TERM: gap up and go day, DOW +251
The market gapped up at the open
on a surprising monthly Payrolls report.
After about an hour of trading
the SPX cleared all the resistance levels
noted yesterday.
In fact
the SPX rallied to its highest level
since June 2015.
With the WROC signal last week,
suggesting an uptrend was underway,
and an uptrend confirmation,
today looks like a game changing event.
Lots to cover in the weekend update,
plus some count upgrades.
Best to your weekend!
Friday Update
Posted on July 15, 2016
LONG TERM: uptrend
MEDIUM TERM: uptrend
SHORT TERM: higher open then consolidation, DOW +10
The market opened higher today,
hit yesterday’s SPX 2169 high
then had its biggest pullback of the week.
We can count an odd looking five waves up
from SPX 2089: 2156-2146-2169-2159-2169.
As you can see
the current pullback is larger than the two previous pullbacks, and this decline at SPX 2156
has already dropped below the 2159 low.
This suggests Minor 3 could have completed at SPX 2169,
and a possible 20+ point decline is underway for Minor 4. Thus far the decline is 13 points.
With short term momentum hitting oversold
after the negative divergence at SPX 2169,
the market could set up a positive divergence Minor 4
with a further decline.
Giving a complete summary of the last several years
in the weekend update.
Kind of a recap of
where we have been and where we are now.
Best to your weekend!
The Point of Maximum Financial Opportunity !
"The Price Pull-Down"
> What it is.
> What it means.
> What it looks like.
* They are "Big Percentage Movers",
and they can be "Life changing",
for the trader who has BIG money in them at their lows.
* They can produce "10 and 20-Fold moves".
* Price "Pull-Down"
where the price falls HUGE over a relatively short period of time.
* All "you" need to remember,
is that with ALL "pull-downs",
the "accumulation" starts.
This is just the first step!
* "Price Pull-Downs" are OTC game stock.
They hover higher for months and months,
with NO retail interest or volume.
* The insiders "pull the price down",
for the funding of their operations,
by increasing the "shares outstanding",
and the "authorized shares",
and when the price of the stock,
reaches the price level,
where the "VC"s want to "Buy",
the stock finally bottoms,
and you then see the accumulation.
* Most every stock "pennylanders"
like these types of stocks.
There is another term
for trading these "OTC sub" & "Micro stocks".
"Bottom feeder" stocks.
* The accumulation is "Bottom Feeders" moving in.
"Venture Capitalists"
* They Load at both,
the 0.001 / 0.002 Sub-penny,
and 0.0001 / 0.0002 Trips Levels.
* Their Plan:
To Sell at:
High Penny Levels !
High 0.00 Levels !
High 0.000 Levels !
Educational Post - Dilution
Authorized Shares,
has no bearing on the price.
The "Shares Authorized",
is not used in any fundamental of financial calculation,
to determine company value.
OTC companies only have two things,
stock for sale and stories of progress.
Dilution:
when the company moves shares from the A/S (authorized shares)
to the O/S (outstanding shares) or tradeable inventory,
for cash investments in the company.
This means there are more shares
at the same market price
and reduces the size of the EPS.
It doesn't reduce the price or value of the stock.
But many pennylanders think it does.
Dilution
doesn't change price, it changes EPS.
Creating loss in company value, not stock value.
Hardly 1 in 1000 OTC companies have an EPS to effect.
So, dilution can't effect their company value in the first place.
What's the value of no earnings, thus no EPS.
On the OTC, "dilution" is the best news one can hear !
Not only does it give the company a chance at growth,
it doesn't effect their EPS value one bit.
They have no EPS to effect.
Plus, every time VCs get there hands on large amounts of shares,
they buy a run, and we can trade for profits !
So, "dilution" is a win for the company,
a win for the Venture capital firm,
and a win for the educated pennyland trader,
on the OTC.
Stocks of many start-up companies,
bottom at the "Sub-penny" price level,
before they begin their meteoric rise.
"Venture Capitalists"
like to buy the shares of these companies at these low levels.
The Point of Maximum Financial Opportunity !
From the Trips and Sub Pennies
to Subs to Pennies,
they are "Life Changers"
Most are Slope Plays
MARKET MAKER SIGNALS
Penny traders believe that Market Makers (MM)
will "signal" moves in advance buy using
small amounts of buys or sells as "signals".
The "signals" are such a small amount of shares
(worth no more than 5 or 10 dollars) that
no trader would have paid a commission that
costs more than the amount of shares bought.
The "signals" are from one MM to another.
100 - I need shares.
200 - I need shares badly, but do not take the stock down.
300 - Take the price down so I can load shares
400 - Keep trading it sideways.
500 - Gap the stock.
This gap can be either up or down,
depending on the direction of the 500 signal.
911 - Pending News
Understanding the Form T-Trade:
If a market maker wants to accumulate
a large amount of a stock in one trading day,
that market maker may actually not report
any of the trades that occurred
until the trading day has ended
so as not to alert the market to the collection.
http://investorshub.advfn.com/boards/read_msg.aspx?message_id=120820833&txt2find=understanding
Iconic Brands Inc.
is a beverage company
with the highest expertise of developing
from inception to completion,
alcoholic beverages for itself and third parties.
Iconic Brands
also markets and places the products
into national distribution
through long standing industry relationships.
Iconic is also a leader
in "Celebrity Branding" of beverages,
procuring superior and unique products
from around the world and branding its products
with internationally recognized celebrities.
BiVi LLC,
a subsidiary of the Company,
is made up of BiVi 100 percent Sicilian Vodka.
BiVi LLC's mission is to promote and support
the sales endeavors of the distribution network
through targeted and national marketing endeavors
and working with the Celebrity partner
Mr. Chazz Palminteri.
The Company intends
to seek, investigate and,
if such investigation warrants,
acquire an interest in one or more business opportunities presented to it by persons or firms who or which
desire to seek the perceived advantages of
a publicly held corporation.
Iconic Brands Inc.
is a beverage company
with the highest expertise of developing
from inception to completion,
alcoholic beverages for itself and third parties.
Iconic Brands
also markets and places the products
into national distribution
through long standing industry relationships.
Iconic is also a leader
in "Celebrity Branding" of beverages,
procuring superior and unique products
from around the world and branding its products
with internationally recognized celebrities.
BiVi LLC,
a subsidiary of the Company,
is made up of BiVi 100 percent Sicilian Vodka.
BiVi LLC's mission is to promote and support
the sales endeavors of the distribution network
through targeted and national marketing endeavors
and working with the Celebrity partner
Mr. Chazz Palminteri.
The Company intends
to seek, investigate and,
if such investigation warrants,
acquire an interest in one or more business opportunities presented to it by persons or firms who or which
desire to seek the perceived advantages of
a publicly held corporation.
Iconic Brands Inc.
is a beverage company
with the highest expertise of developing
from inception to completion,
alcoholic beverages for itself and third parties.
Iconic Brands
also markets and places the products
into national distribution
through long standing industry relationships.
Iconic is also a leader
in "Celebrity Branding" of beverages,
procuring superior and unique products
from around the world and branding its products
with internationally recognized celebrities.
BiVi LLC,
a subsidiary of the Company,
is made up of BiVi 100 percent Sicilian Vodka.
BiVi LLC's mission is to promote and support
the sales endeavors of the distribution network
through targeted and national marketing endeavors
and working with the Celebrity partner
Mr. Chazz Palminteri.
The Company intends
to seek, investigate and,
if such investigation warrants,
acquire an interest in one or more business opportunities presented to it by persons or firms who or which
desire to seek the perceived advantages of
a publicly held corporation.
Iconic Brands Inc.
is a beverage company
with the highest expertise of developing
from inception to completion,
alcoholic beverages for itself and third parties.
Iconic Brands
also markets and places the products
into national distribution
through long standing industry relationships.
Iconic is also a leader
in "Celebrity Branding" of beverages,
procuring superior and unique products
from around the world and branding its products
with internationally recognized celebrities.
BiVi LLC,
a subsidiary of the Company,
is made up of BiVi 100 percent Sicilian Vodka.
BiVi LLC's mission is to promote and support
the sales endeavors of the distribution network
through targeted and national marketing endeavors
and working with the Celebrity partner
Mr. Chazz Palminteri.
The Company intends
to seek, investigate and,
if such investigation warrants,
acquire an interest in one or more business opportunities presented to it by persons or firms who or which
desire to seek the perceived advantages of
a publicly held corporation.
Iconic Brands Inc.
is a beverage company
with the highest expertise of developing
from inception to completion,
alcoholic beverages for itself and third parties.
Iconic Brands
also markets and places the products
into national distribution
through long standing industry relationships.
Iconic is also a leader
in "Celebrity Branding" of beverages,
procuring superior and unique products
from around the world and branding its products
with internationally recognized celebrities.
BiVi LLC,
a subsidiary of the Company,
is made up of BiVi 100 percent Sicilian Vodka.
BiVi LLC's mission is to promote and support
the sales endeavors of the distribution network
through targeted and national marketing endeavors
and working with the Celebrity partner
Mr. Chazz Palminteri.
The Company intends
to seek, investigate and,
if such investigation warrants,
acquire an interest in one or more business opportunities presented to it by persons or firms who or which
desire to seek the perceived advantages of
a publicly held corporation.
Friday Update
Posted on July 15, 2016
LONG TERM: uptrend
MEDIUM TERM: uptrend
SHORT TERM: higher open then consolidation, DOW +10
The market opened higher today,
hit yesterday’s SPX 2169 high
then had its biggest pullback of the week.
We can count an odd looking five waves up
from SPX 2089: 2156-2146-2169-2159-2169.
As you can see
the current pullback is larger than the two previous pullbacks, and this decline at SPX 2156
has already dropped below the 2159 low.
This suggests Minor 3 could have completed at SPX 2169,
and a possible 20+ point decline is underway for Minor 4. Thus far the decline is 13 points.
With short term momentum hitting oversold
after the negative divergence at SPX 2169,
the market could set up a positive divergence Minor 4
with a further decline.
Giving a complete summary of the last several years
in the weekend update.
Kind of a recap of
where we have been and where we are now.
Best to your weekend!
MARKET MAKER SIGNALS
Penny traders believe that Market Makers (MM)
will "signal" moves in advance buy using
small amounts of buys or sells as "signals".
The "signals" are such a small amount of shares
(worth no more than 5 or 10 dollars) that
no trader would have paid a commission that
costs more than the amount of shares bought.
The "signals" are from one MM to another.
100 - I need shares.
200 - I need shares badly, but do not take the stock down.
300 - Take the price down so I can load shares
400 - Keep trading it sideways.
500 - Gap the stock.
This gap can be either up or down,
depending on the direction of the 500 signal.
911 - Pending News
Understanding the Form T-Trade:
If a market maker wants to accumulate
a large amount of a stock in one trading day,
that market maker may actually not report
any of the trades that occurred
until the trading day has ended
so as not to alert the market to the collection.
http://investorshub.advfn.com/boards/read_msg.aspx?message_id=120820833&txt2find=understanding
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