Next week is going to be interesting;
- Monday may be another red day. I am expecting a pullback of another 10 to 15%. The closing may be around $1.50.
- Tuesday will be a small recovery of 8 to 10% and would close around 1.65ish.
- Thursday we get the 4C. There are chances for two things to happen. If there is not much revenue to be reported, the company may accompany the 4C with a contract. This completley makes sense, as there are hounds who have taken large shorts and are waiting for anything that they can use to attack the company to push the prices down. As such, the company would try hard to to get a contract released with the 4C. If the 4C has over 1 Million in earnings, it will be released on its own. Eitherway, this will push the price higher.
- Friday closing will be above $2 mark.
- In Feb, the SP will touch $3 but will end up settling in the higher 2s.
All in my opinion only.
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Last
31.0¢ |
Change
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Mkt cap ! $572.2M |
Open | High | Low | Value | Volume |
31.0¢ | 32.0¢ | 30.5¢ | $1.046M | 3.347M |
Buyers (Bids)
No. | Vol. | Price($) |
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34 | 781660 | 30.5¢ |
Sellers (Offers)
Price($) | Vol. | No. |
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31.0¢ | 180209 | 5 |
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No. | Vol. | Price($) |
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34 | 781660 | 0.305 |
69 | 924236 | 0.300 |
20 | 410891 | 0.295 |
33 | 1496830 | 0.290 |
14 | 179191 | 0.285 |
Price($) | Vol. | No. |
---|---|---|
0.310 | 180209 | 5 |
0.315 | 286013 | 7 |
0.320 | 205468 | 9 |
0.325 | 432011 | 8 |
0.330 | 461854 | 9 |
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Change
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