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» Allstocks.com's Bulletin Board » Micro Penny Stocks, Penny Stocks $0.10 & Under » "DDSI Executives provide short Q&A, 12pm, 07.11.06" (Page 6)

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Author Topic: "DDSI Executives provide short Q&A, 12pm, 07.11.06"
DDA
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quote:
Originally posted by Max Shrap:
That Q&A pretty much did more damage than ANY basher could do.

Agreed. I hold 3.5 million shares since approx 10 months. The only thing I've seen happening with this stock, is (1) dillution (2) PPS decrease.

It's easy to hide behind your customers and to state that you can't state anything.

By the way : I see some people claiming a RS of 100 would not be a bad thing. 'Know your classics'. A RS is bad in almost any cases for a pinkie or an OTCB. I can't understand that people make such statements. It only confuses newbies. Pls. don't listen to it.

I'm very disappointed by the unprofessional behaviour of this company.

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DDA
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quote:
Originally posted by Max Shrap:
Nah, I want to average down to .0002. With a couple contract PRs this thing will go to .0003 and I will make a few bux.

quote:
Originally posted by madmoney:
quote:
Originally posted by Max Shrap:
I've had an order in at .0001 all week and can't get a fill.

after you read the above post you may want to cancel your order! it`s up to you.

I would not consider to average down to 0.0002.

If it goes to 0.0003, you'll not be able to sell at that price. It needs to go to 0.0004 before you'll likely to have success. But by that time everyone will try to sell ...

I regret as well the fact that you state that a RS could be good. What will happen is that they'll start diluting again after the RS. This will bring the PPS down again.

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gatorhistory
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if you are not investors of this company, or you don't like how they do business, why are you on this board?

The answer is in your posts. Go find as many fully reporting pinks with growing revenues like DDSI and list them here....I doubt you'll find many, if any. For them to state they have thought about a R/S is honest -- if you'd rather they lie to you go jump on the CSJJ board, or QBID for that matter....oops...is QBID even still trading?

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chevon2020
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quote:
Originally posted by Squire38:
quote:
Originally posted by chevon2020:
I wonder if they do a R/S will this do what PAIM did after its split. If it does I hope I can get in on the bottom.

PAIM ran because a lot of people sold their restricted shares. Once the restricted shares were sold the brokerage companies realized they were letting the stockholder wrongly sell. The brokerage companies then made the shareholders cover the shares they sold, effectively creating a little short squeeze.
That wasnt PAIM that was PAIV. PAIM just did a R/S and ran to .001 from .0001

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I'd just like to retire at 26.

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DDA
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quote:
Originally posted by gatorhistory:
if you are not investors of this company, or you don't like how they do business, why are you on this board?

The answer is in your posts. Go find as many fully reporting pinks with growing revenues like DDSI and list them here....I doubt you'll find many, if any. For them to state they have thought about a R/S is honest -- if you'd rather they lie to you go jump on the CSJJ board, or QBID for that matter....oops...is QBID even still trading?

Because this is a board where people exchange info, feelings, insights, ... good and/or bad ?

Plus your statement of the R/S : most of these companies were not going to R/S, but still they did at some point in time.

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gatorhistory
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and how many of those companies had actual growing revenues, with expanding product lines...how many of them were fully/on time reporting companies with audited financial statements? I doubt very many of them can say that.....I've been in the pinks a long time and THAT does not happen very often.
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JIF
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quote:
Originally posted by Max Shrap:
Do they have the O/S to R/S? What's the O/S, 18 billion or sumtin?

7.8 billion.

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JIF
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quote:
Originally posted by ABEX TRADER:
quote:
Originally posted by Max Shrap:
Nah, I want to average down to .0002. With a couple contract PRs this thing will go to .0003 and I will make a few bux.


How can you guys invest in a company when you haven't even looked at their web site? What is your investment strategy? Do you buy when you like the sound of their name?

Good lord! Look, go to their web site! They had 2 TWO TWO TWO PR's in April and May. Historically, they release a pr every month!

How can you dispute this?! It's on their web site! Go read them!

I'm so tired of people saying they don't put out news releases.

And, another thing, what do you mean they don't tell you who their customers are? Again, look at their web site! They have a whole powerpoint presentation that highlights about 100 of their customers!

Good lord! Do some fricken DD ALREADY!

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JIF
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quote:
Originally posted by atleast:
quote:
Originally posted by gatorhistory:
companies that buy these kinds of products would probably not like everyone to know what kind of tamper proofing products they are using. the longer you know what they use, the easier it is to try and find some way around it. NDA's are used everyday in business to protect companies and the products they buy.

As for a possible r/s -- it makes no sense to do that anytime soon -- they have revenue to sustain and grow the company, along with the possibility of further acquisitions to further increase revenue. To perform a r/s for any other reason than to move to a bigger/better stock exchange is the only thing that makes sense in trying to further shareholder value.

I hate to break it to you guys but this is not the typical buy/sell daytrader pink. It's an invest/wait company as it grows. That's right, I know...I said the bad word here in daytrader land....INVEST.

what is your INVESTment term for DDSI? I'm in since October last year - is this enough to name this stock a POS?
Where did you buy it at? If you bought it at the peak of the last pop, then it's a bad investment for you. If you bought it at .0001 or .0002, then you may be in good shape.

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gatorhistory
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lol...I bought in at the very bottom -- guess that's why I'm relaxed about this and the potential for it.
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JIF
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Yeah, I bought last year for .0004. Sold at .0008. It proceeded to move into the .0020's.

I was livid. I waited a long time for it to come back down to these levels. I was patient.

Now I have 32million shares at .0002 and it's all another waiting game.

Only difference, I won't get out at .0008 this time. I'm letting it ride long term.

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atleast
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quote:
Originally posted by JIF:
quote:
Originally posted by atleast:
quote:
Originally posted by gatorhistory:
companies that buy these kinds of products would probably not like everyone to know what kind of tamper proofing products they are using. the longer you know what they use, the easier it is to try and find some way around it. NDA's are used everyday in business to protect companies and the products they buy.

As for a possible r/s -- it makes no sense to do that anytime soon -- they have revenue to sustain and grow the company, along with the possibility of further acquisitions to further increase revenue. To perform a r/s for any other reason than to move to a bigger/better stock exchange is the only thing that makes sense in trying to further shareholder value.

I hate to break it to you guys but this is not the typical buy/sell daytrader pink. It's an invest/wait company as it grows. That's right, I know...I said the bad word here in daytrader land....INVEST.

what is your INVESTment term for DDSI? I'm in since October last year - is this enough to name this stock a POS?
Where did you buy it at? If you bought it at the peak of the last pop, then it's a bad investment for you. If you bought it at .0001 or .0002, then you may be in good shape.
almost same story - bought at .0006 and .0004; sold some... since then averaging down to .00024 with 40 mil shares... not good at all...
Major boards (allstock, ihub, hsm, bulls) are holding around 2 bil shares and going to sell immediately if PPS starts to touch .0003... this is reason why I don't see "easy" exit - even in "long" term...

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gatorhistory
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I highly doubt anybody that is holding this stock, and has been holding it for some time will sell at a paltry .0003 - that doesn't make enough money to make it worth while.
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ABEX TRADER
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quote:
Originally posted by JIF:
quote:
Originally posted by ABEX TRADER:
quote:
Originally posted by Max Shrap:
Nah, I want to average down to .0002. With a couple contract PRs this thing will go to .0003 and I will make a few bux.


How can you guys invest in a company when you haven't even looked at their web site? What is your investment strategy? Do you buy when you like the sound of their name?

Good lord! Look, go to their web site! They had 2 TWO TWO TWO PR's in April and May. Historically, they release a pr every month!

How can you dispute this?! It's on their web site! Go read them!

I'm so tired of people saying they don't put out news releases.

And, another thing, what do you mean they don't tell you who their customers are? Again, look at their web site! They have a whole powerpoint presentation that highlights about 100 of their customers!

Good lord! Do some fricken DD ALREADY!

I suggest you read the PR's again.They really do nothing to entice Investors to come in. I have been and did my DD on the co. before buying and thought they would soon give ssome good PR news of contractual agreements.I even called Tony.

This thing is not going to go anywhere anytime soon except to take away the value of the pps.

As it stands n one is going to buy into a co. that may or may not go into an RS and end right back here.

I think the co. has actually betrayed it's investors while they give themselves pay raises and say they are doing cost cutting.

I might just cash in nd wait for a real co. that is going to go up expotentially without all the back biting this one has.

Your CEO has done nothing to help a bad situation and he is not going to help in the future.

GL!

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JIF
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First off, he's not my CEO. I've never met him. However, I appreciate his sense of conservativism and honesty.

In terms of your opinion of the company, and it is just one opinion, you're entitled to it. I respect that.

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gatorhistory
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anyone else still watching the accumulation and rise in money flow in to DDSI?
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JIF
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Did we really end with the ask on .0003! That's a good thing.

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You can't afford to risk, what you can't afford to loose.

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KaiserSose
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JIF,

I have this for level 2:

BID SIZE
0.0001 20 140000

ASK SIZE
0.0002 20 170000
0.0003 14 70000
0.0004 4 20000
0.0009 2 10000

Are you sure ask is at 0.0003 ?

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RJD2000
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I have scotty and they seem to always have the ask at .003 after the close. When mornig comes its back to .0002.

I hope this does something soon.

GLTA

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FARIMI
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So! who said, they were on time with PR?
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gatorhistory
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they are not on a PR schedule . . .
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ABEX TRADER
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Well if you own this cos. stock it is your CEO as he is the rep that is making the decisions where you put your $$ so you should have faith in his ability to make your investment $$ work and entice investors to come in and join the good they are doing.

This co. has done no good since I bought in and now I shall be exiting so I really do not care what he does anymore. I was going to go on and wait,but as others pointed out "FOR WHAT"?

If you think a RS is going to help your wrong unless it's one of those 1% cos. that cn make it work which I strongly doubt. As I said during the Q&A it just prolongs the cycle which has already started.Had I known the CD Conversion End date was 3\2008 I would have never planted my faith to have this co. move my $$.

I have a system that works when I use it and I shall now go bck to using it diligently with waht I have.No more wishful thinking which is what people I think are doing here. There is nothing to turn this co. around.

OTOH what could happen if you have an idea that they shall do a RS is wait till after the RS Drop and then place your $$ in for the pop back up and then pull it as I see this cycle continueing as long as they have Millions of CD's which will Dillute the stock and be bad for the pps .

Weather this is a POS does not matter.It's the course your CEO is going to take and I really do not see any other option as they shall have 20+Million shares to deal with if they continue with the CD's and all the rest of their BS plan.

I wish you all luck and I really mean that as losing $$ can be very painful. I planned on this making a run to .0065 like the promotionals had stated,but they are paid for.If they pay for them they should atleast beable to use Contractual PR's to promote investor interest,but even those might not entice investors because if you read the 10-Q's you find the CD's that they will need to convert.That in turn brings Dilution.Where Dilution is the solution my $$ can stay away!
They do not need use the names of the cos. they have contracts with do that is no excuse for me.I own several other security cos. and one that I do not own has posted contracts without revealing the name of their client.So that excuse does not go well with me.

I'll look for momeentum plays "TO THE UPSIDE" with the use of PR's.I invested in this instead of CBAY which at the time I could have bought at .20 and it ran to .60 .Coulda,shoulda and woulda are all orphans though!

Good luck to all of you and I would write to protest any move in the way of a RS ,but I doubt that wil even help ecause of the Dilution due to the CD's.Therefore this position is not worth holding out for in my opinion.It may minmise your loses though. If you are lucky it might make it to .0003-.0004 at which time I would cash out and wait for the RS to happen because I think it is the only option they shall have seeing that there are so many CD's which shall create a float that will paper the hull of a supertanker,NICE!

There were some clear warning signs like the fact they do not even buy their own issue for one.30Million shrss. I think they own.No Contractual PR's in like 4yrs..And now the CEO hiding behind the NDA excuse and warning they are contemplating an RS. I always said when you hear that word run fo not walk to punch out of the issue and I will now live by what I preach.I am surprised I have not sold sooner.There were other warning signs like the CD's which are numerous.
They are making themselves fat from your investment $$ and you'll have plenty of worthless paper to look at once they make their plans implemented which has already occured after they signed the CGM agreement.He is amking out like a bandit of those CD's.


I hope and wish all of those that hold this well as I mentioned so do not shoot the messenger as it's the way I see things and if I am wrong good for all of you!

[ July 18, 2006, 18:46: Message edited by: ABEX TRADER ]

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JIF
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Abex, I've been reading your posts for months now. It's no secret that you are a basher.

That's o.k.

All I have to say is that if you are going to go, then go. But IF this stock does pop back into the .002's, then promise you'll come back and tell us how it feels to miss out on 10's of thousands of dollars.

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KaiserSose
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We will soon find out if history does repeat itself. Let's hope it does.

August 2005 --> August 2006

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JIF
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Was it August of last year that the stock popped?

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KaiserSose
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yes it did JIF ...

I think time has come we get rewarded ...

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JIF
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Just 30 days until the 10Q comes out.

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JIF
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Brackep = I couldn't agree with you more, Brother.

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KaiserSose
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JIF,

The most important thing would be that Tony thinks the same.

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JIF
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BOY I LOVE TO SEE .0002! HAHAHAA.

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You can't afford to risk, what you can't afford to loose.

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KaiserSose
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If we just would get an uptick and some strong news ...
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JIF
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Just so everyone knows:

I have a sell order in at .0025. Another sell order in at .004.

I'm holding another block long term.

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You can't afford to risk, what you can't afford to loose.

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fishfarmer
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quote:
Originally posted by brackep:
If we just would get an uptick and some strong news ...

Just a matter of time guys.

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Buy when blood runs in the streets

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KaiserSose
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I have a sell order in at 0.003
Another one at 0.004
and another one at 0.005

looking to pick up some more
and those I will sell at 0.006

At least I'm gonna try to ...

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JIF
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It is just a matter of time. I totally agree.

The last 10q showed marked improvement in revenues, sales, and position.

If we get another strong 10q that shows sustained corporate growth, then we are on the fast track with this one imho.

Not to mention, maybe even profitability on the horizon? [Smile]

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You can't afford to risk, what you can't afford to loose.

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