re: answer of revenue loss
There are really IMO few outstanding investments ( 1000+ % )
And there are few imo really outstanding investors..
90 % buy because they are told to ( brokers ) or they see others buying ( price signals )
In the dull ranges what accumulates ???
The penting up of future selling and buying ...
buyers get wound like a spring as they wait for others to buy ( breakout signals ) or lower prices ( than they might have sold at before )
sellers also ,, those who did not sell at a higher price previously,, or those who are just waiting for the next rally or a certain price...
90% of people have to be told Now is the time to Buy
In the mean time price ranges and volume subsides In the range there is not much accumulation or distribution ( imo that happens in the rally and reaction )
But something accumulates ,,, pent up contingent trades... contingent on a technical signals,, news or research....
When a stock leaves the range Volume spikes and then We see for sure....
the longer it ranges the more vigorous the Volume and price action... and it does not matter what the initial direction is... pent up demand meets released supply
Ok the previous action gives the context... and can point us to where the next leg will lead...
Also while the stock ranges the business doesn't developments and news will come in time, and then the mkt action can play catch up...
A trading range given a good fundamental story is just another word for opportunity
GCN imo can not but piggy back on SSI in China It Is the tech platform
And SSI A high water mark for reference is $7.00
Next significant rally ( If it comes ) given the time in this range around $3.80 makes $7.00 a reasonable mark to judge the consensus from...
So $7.00 is not a target but more a calibration point
$7.00+ very strong = a very bullish consensus
And $7.00 I mean before meaningful reaction or ranging.....
And $7.00 is purely a technical indication...
SSI.. was the investment story of 2005 and two significant Investment mags point to a good 2006.. A red hot stock ,, A top stock ..
I can not see how this means nothing for GCN..
Anyone see opportunity ...maybe should be buying Those that don't should have already sold or wait for the next action to sell into..
Investment at bottom is simple put money at risk that others will not accept. And make one self available for the possible returns
But there is real risk,,, But so in anything and you have to be in it to have any chance of winning
nothing ventured nothing gained and when those 90 % are not buying and the stock ranges but business develops.. well this builds the technical position.. short term holders become absent
It is probability and expectations There might be nothing for the follower of noise to see but still each day We get closer
SSI has been a text book study In an outstanding investment ...So Far !
And this does not come about with out outstanding management.. or a tremendously structured deal ( note how well the small shareholders have benefited )
ATM We are between chapters...GCN and SSI
Volume spikes and everybody will know the plot as resumed.......
Still see GCN and SSI as good buying
GCN has fallen out of the range .105 to .14 (No Volume yet ) The very thing that could spark some action..
Given a good fundamental story a breakout up or down does not matter.. What matters is the triggering of contingent trades... And some noise...
Who can stop time ? stop news ? How can it not come ? The Half years will be soon in any case...
Buy or sell that is all I have to decide on...
TLS as plenty of revenue ?? ATM I am NOT buying TLS
These are My views opinions of the moment
angry all you have to decide is to buy or sell
SSI GCN or any other stock...
everday Mr market offers to buy or sell you shares at a price.... That is just opportunity for some and peril for others.. AND the fullness of time will reveal
But We have to buy or sell NOW ..That is where opportunity is seized.. Not after it as made a go of it and gone up...
Resource stocks three years ago
outstanding investments..
Not applicable if you want the safety of at call bank deposit returns granted they are
safe ? secure ? liquid ? and NOT speculative ?
But then they will not be SSI or We hope ( I assume ) GCN..
Read the announcements look what was achieved with SSI GCN is part of that story now.. next chapter We await..
To all those who hold on HC good fortune
angry the first time I ever heard the name Goconnect was one of your posts...
The time in between failure ?? Or just opportunity to build positions ?? NOW .... Buy or sell ???
"answer of revenue loss"
content Not good enough marketing not large enough partners to passive Not enough funding
But with the very important qualifier YET...
R&D keeps being done new applications new partners refinement You have read the announcements
low costs prudent management a survivor from the sector
And nothing much for the noise followers to see
yet SSI could be in the S&P 300 and GCN is to be the tech platform
You saw the scramble to buy in that took it to .20
All stocks are illiquid relative to cash and bonds liquidity dries up esp with tiny micro caps But still a technical position is built and news and fundamental success will further
and volume liquidity will soon follow
maybe at substantially higher prices ?
Your call
motorway
GCN Price at posting:
0.0¢ Sentiment: None Disclosure: Held