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Elkay11

08/15/19 1:50 PM

#110320 RE: Polebarn #110319

We remember FUDing like this before the last run.

Hope you covered.

VRUS going up.
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Shinook99

08/15/19 2:38 PM

#110330 RE: Polebarn #110319

I get it, but why now? Look at the timing of what you are saying - whether you think the company is diluting and/or big investors are selling.

1.) they could have diluted at .037 or sold there
2.) the timing is all off -- literally everything is lined up for monster news and monster gains in SP - why would you dilute or sell right now, 2 months ago, okay, a month ago, maybe...but right now...we are literally teetering on the edge of explosion.

my reasoning is that the Q will be dropping soon and it should reflect the first shipments of candy/ice cream -- the orders would have had to already be in if they were in the manufacturing process and Mark said everything started to ship 2ish weeks ago. That means sales/revenues should have been in the last Q. The re-up, additional orders should be in the backend of Quarter going on right now.

So i just feel like - you could be right - just doesn't make any sense to sell or dilute right now when you should be able to sell for 2x the price in a few weeks.
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Nestegg McMuffin

08/15/19 5:03 PM

#110352 RE: Polebarn #110319

Pole, let me submit a counter theory. First, I agree about that day where there were seemingly endless supply of bids getting filled under 02. I think that was a big long trimming some of their position, possibly on a hold sale, so it didn't ding the price.
I think the massive weird million share dumps into the bid were shorts or MM stopping the run. Everytime stock looked set to break out, it would get 'stock blocked' by a seemingly senseless dump.
That kind of manipulation has an affect on stock sentiment, so this retrace was far more severe than it would have been, and bits of good news don't seem to affect the price substantially.
But then this stock didn't move on the MLB deal, which could well have the biggest impact on revenue over the next 12 months.
In the end, you learn to ride out itchy summer trading. It's jow volume churning of no structural consequence. DD remains the same. Company's path to growth hasn't changed, in fact, company has only got better with the LOC and product hitting US stores for the first time.

As we know from March and June -- one good update or Q and we're off the races again.