0,01 soon and more ....
I dont think so. I bought the day before yesterday near the bottom and sold it this morning at the open.I think people are too optimistic about the 10Q results, whereas net losses will make a great deal today and will take it back down.Lets see!!!
On Level II, MM is sitting at .0052 holding the pps from going down with an aggregate bid size of "99990000".This is a good opportunity to exit at the least at .0052 before MM change their tarding strategy for the day.
If it closes at .0054 or above it's going to run hard.If not it will pullback monday and consolidate again.
Wow!!! I scared the MM, took off the bid size and vanished from .0052Looks like MM reads every second of yahoo board.WOW!!!
Only thing irrelevant here is mike ramos.