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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 8)

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Author Topic: "DDSI Executives provide short Q&A, 12pm, 07.11.06"
MoneyMoneyMoney
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quote:
Originally posted by gatorhistory:
today = consolidation

JIF - As to the comments made by the local basher, I say ignore it. If you ignore them they will go away. They get paid when people respond to them. Everyone that has actually done DD on this company is most likely holding the stock already, so just ignore it. :-)

Very true. I'm still holding my 15mill. I have seen the 10-QSB report. The others can do as they wish. I'll be ready for the run!

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I buy fast and sell faster!

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quickpicker
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I am still holding 5 million shares and will wait to see what happens after the next filing as well.
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Tamoka
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I'm also hanging on until the next 10Q.

If we show improvement I'll stay for awhile longer.

If we show no improvement or the 10Q shows we lost ground, I'll sell and move on.

Simple as that.

Unfortunately for me, this stock has been a learning experience as to what converting CD's can do to a stock.

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JIF
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Tamoka,

I think that's very smart thinking. And it's fair.

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

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JIF
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Wow,

That's a lot of volume at the open. Looks like someone got out at .0002.

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

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JIF
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Over 100 million shares at the open.

It might be possible to buy at .0001 right now. I'm not going to get in any deeper, but someone else may want to jump on it.

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

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dalton05
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it looks like the sellers are out.Can't blame them this hasen't done nothing lately
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JIF
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200 million shares now.

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

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JIF
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approaching 300 million

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

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megahead34
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Whats up with this insane volume?
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JIF
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quote:
Originally posted by dalton05:
it looks like the sellers are out.Can't blame them this hasen't done nothing lately

Good. Let them go then.

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

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JIF
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approaching 400 million shares now. Someone is dumping at .0001 in a big way.

Can anyone see the L2s?

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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,

Are they buys or sells ?

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dalton05
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Maybe the insiders see a R/S comming and are running away.
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JIF
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I have no idea. I can't see the L2's

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

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Tamoka
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For what it's worth. Some of the volume may be attributable to the PR SMMW put out today. There has been some talk, over the past two months, about DDSI on the IHUB and RB SMMW board.

It's possible some of those investors are selling their DDSI and getting back into SMMW.

The same TA, that helped take PAIV to the levels it is today, has been engaged to work with SMMW. The thought being that perhaps Jack Donnelly might do for SMMW what he did for PAIV.

Just a theory.

http://biz.yahoo.com/iw/060721/0146349.html

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JIF
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volume is holding just under 400 million.

Maybe this one guy is done.

All I know is we're back to .0002 with almost 400million volume before 10am.

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

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FARIMI
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Why sell so much volume at that price? what is the profit there. unles he got it at less than .0001. Makes no sense!
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JIF
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I know. It's crazy.

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

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JIF
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I'm holding for 30 more days. By then, I will have read the 10q and will see where the stock goes. I'll either get out clean, or ride a very big wave.

Either way, I'm going to sit for 30 more days and wait this one out.

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

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FARIMI
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Well! I don't think I can afford that! I think I will die with the company or go up to the ski with, what ever would be the case! But still hoping this will go for good! if some day were at .17 I have faith some day at least will be at least half of that price. Good thing that money I spent was from my piggy bank! jiji
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FARIMI
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2001! is when I got my first ddsi! it was at .17 come on, we can do it. I think the company is in better shape than then! go go!!
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FARIMI
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ahhhh! before that was better yet.

Price and Volume
(updated Apr 3, 1998)
52-Week Low
$0.281
Recent Price
$0.281
52-Week High
$2.00
Beta
N/A
Daily Volume
(3-month avg)
0
Share-Related Items
Market
Capitalization
$694.0K
Shares
Outstanding
2.47M
Float
1.40M >>

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gatorhistory
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it will be interesting to see....MFI spiked up above 80, RSI is holding above 50 right now.

Either someone/group dumped their shares in this, which brings on the question why are we holding at two? Flood the market with 400 mln shares you'd think we'd get a steady trade * 1....unless there is an insane amount of buyers out there keeping it afloat.

or...MM's are trading shares around to get what they need.

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quickpicker
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I have a buy in for a couple mil at .0001. I dought it will go but what the hell.
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KaiserSose
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seen this:

0.0002 1000000 OTO 12:24:09
0.0002 9000000 OTO 12:12:36
0.0002 9000000 OTO 12:12:36
0.0002 9000000 OTO 12:12:36
0.0002 7000000 OTO 12:12:36
0.0002 9000000 OTO 12:12:36
0.0002 9000000 OTO 12:12:36
0.0002 9000000 OTO 12:12:36
0.0002 9000000 OTO 12:12:36

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JIF
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approaching 600 million shares now.

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

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KaiserSose
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hopefully we get more of this bigger volume days towards the next financials ...
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quickpicker
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No takers on my .0001 buy.
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gatorhistory
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it's as if the MM's are swapping these shares amongst themselves.
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ABEX TRADER
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Seeing that all are convinced I am a Basher,which I assurre you I am not,I cashed out all my shares today and feel better for it.
I lost a lot on this POS and gave up positions that did very well like RMDX which is also a Security co.,but with very major differences over this like they do announce agreements and what they are doing.

If anyone is wondering about the Vol. today it was mostly those famous 9Mil.Shr. trades which are CD's and that equates into more Dilution to move through.

I'll keep this on my watcchlis just to see what happens as I would not believe that they are not going to pull an RS and it may just get a pop before they announce one,but I do not count a word a corp. if you want to call this one has to say as they need to have a meeting and it will happen after the 10-Q is announced or during it.

Now I can play the market when I see it recovering instead of waiting for issues to move. One thing is for certain when the market comes back and the lower issues run again there shall be plenty of lower pps issues that will run and I will make my $$ back on them.

Good luck and I hope people make something off this as I hate to see people lose $$.It sux to be wrong ,but this was defintely a setup for a fall and I should have read it before putting faith in Promotionals instead of concrete contractual news.FONR\BRVO and a few others ran when news was postive and this shall never run like those due to NO CONTRACTUAL Agreements announced by the CEO & their PR machine which does not exist.Love those promotionals though!

Look for 9Mil.Shr. trades being shown as those are the CD's being converted and with each that adds to the Float and it's going higher.

BTW there are no insider's.Call and ask! There is 28Mil.Shrs. held by insiders.The co. will not even buy any stock so why would anyone else.

I will wait and keep tabs on if and when the RS comes.I was thinking of keeping it to buy if the RS happened and there was a drastic drop,but I would not even touch it then.

There will be better days coming for better cos. out there. Oil & Gold will be better ussues to look at.
IPTM and AOOR are 2 issues I want to look at closely.Yesterday an analyst gave IPTM a pps target of .50 ,but I will follow it to see if it runs with heavy Vol. before commiting.

GL with this,but be wary as there is more Dilution being created with the CD's which if I had known they would not end till 3\2008 I would have never touched this.

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Max Shrap
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ABEX TRADER

How long did you hold this thing, a couple weeks? I could be wrong, but I think if you would have waited a few weeks for the financials you would have been given a better exit point. Now that you are out of it, please stop the 10 paragraph "non-bashing" posts in a thread that you no longer need. Some of us don't need a reality check. Allow us our dillusional dreams of this thing going to pennyland. Hehe.

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gatorhistory
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accumulation chart rose again today, MFI and RSI holding in good places. I don't think we were seeing cd's today...I will call the transfer agent again on Monday to see though.
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beechwood
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She's getting rrrrready to rrrrrunnnnnn!!!
Allllllll aboooooooooooooard!!!

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quickpicker
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How are the charts and characteristics now compared to the time before the run this had last year?
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