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[QUOTE]Originally posted by will: [QB] Boo, sometime we think too much. I am not trying to insult you, but the warning from your post I quote below is pretty much standard language for these smallcap companies. You see it in the Form 10's ALL THE TIME. "Over the next twelve months we believe that existing capital and anticipated funds from operations will not be sufficient to sustain operations and planned expansion. As a result, we will be required to seek additional capital in the future to fund our operations through additional equity or debt financing or credit facilities. No assurance can be made that such financing would be available, and if available it may take either the form of debt or equity. In either case, the financing could have a negative impact on our financial condition and our Stockholders." It is kin to siting the financials as a reason to not buy. These raggedy companies have no fundamentals. They are manipulted by the MM's and barely legally taken advantage of by the diluting cheating CEO's. That's what makes these thing rise and fall 100's of %'s in a short time, not its ability to make real money. I am steadfast tied to my belief that most of these companies down here have little or NO real business at all. It isn't about reality, it is about precption. As long as MM's accuumulate at low prices and sell their inventories back to investors at higher prices, and as long as CEO's have a printing press, these issues will yo-yo up and down. Sometimes moderate swings, sometimes wild swings, depending on the anticipated news, actual news, or whatever the excuse they use to drive them one way or the other. The MM's have unbelievable power, total control over the B/A process. Does supply and demand with free trading really exist down here? They can kill or raise the price ANY time they please. People will see the volume, the price rises, and off it goes, when it's spent and the MM's have sold enough back at higher prices, the process reverses, accuumulation begins again, and the whole process is repeated at a later date. I apologize if I sound cynical, but from watching this game for almost 3 years now, that is the conclusion I have arrived at. How many pinks have we seen come from nowhere and have 1000% gains, and promises to publish audits, share buy backs, move to a higher exchange......all the standard bullcrap, only to see NONE of the promises come to fruition? Even the OTCBB reporting companies allude to million dollar deals, whether in revenue and / or profits. When it is all said and done they have nothing, but an oops, excuse me, here's the real story, and then they dilute by 100's of millions shares, or depending on the size of their balls, maybe even billions of shares. I ask you, (not you personally, but the universal "you"), how many times do "investors" have to be duped to understand THERE IS NO LONG TERM INVESTMENT HERE? Y'all can name them as easily as I can, but you see "believers" say, "Well, I talked to the CEO and he seemed snicere." No kidding, he's a conman, what the hell do "you" think conmen do? They con you! This is a pos company, 99.999% of them are. There isn't any fact or logic with any of them that one can draw an educated or sure conclusion from. The tripe I presented regarding RNVO's potential future actions, might happen, but can anyone be logially sure, or even assign a probability percentage of it happening or not? It's a nice story, it's a longshot gamble, but it could be nothing. It's gambling, and you best know your chances, and realize that deck is stacked against you, firmly stacked. You have to be on the right side of the MM's push, and pray to God that the CEO isn't gonna blindslide you with bad news. Both situations always happen sooner or later, our job is to find that window of opportuntiy that exists where you are riding the tide with MM's and the CEO is supporting it, because you can bet your hat, ass, and gloves, one of them is gonna turn sour, and pick your pocket. [/QB][/QUOTE]
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