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A remake sounds like an aborted business plan.
For me ATHN is the one that got away. Bought it twice after it tanked and made a bit of money both times and sold it the day before it went from 106 to 126 never to get back in.
Why was the CFO forced out? The quarter was strong.
Is David eihorn still short athn if so he is getting killed along with his short of tesla
I have a feeling ATHN will see a pullback now. What yall think? if you guys have questions you should ask awe*some*stocks. They often respond to my emails which is helpful.
ATHN may be a compelling opportunity. Do you guys find it difficult to know when to buy or sell something? I prefer to get my stocks from awe.some.stocks.
Pulling back in an advancing mkt , ........wonder why
Yahoo Finance Insights
ATHN reached a new 52 Week High at 148.27
I think ATHN is due for a pullback. What are your thoughts? Im not sure about you guys but awesome.stock.s has provided me with some pretty good trade ideas. I messed up executing some of them but thats on me.
Elliott, both directly and through The Liverpool Limited Partnership, a Bermuda limited partnership and a wholly-owned subsidiary of Elliott ("Liverpool"), and Elliott International have entered into notional principal amount derivative agreements (the "Derivative Agreements") in the form of cash settled swaps with respect to 1,055,471 and 2,242,880 shares of Common Stock of the Issuer, respectively (representing economic exposure comparable to 2.6% and 5.6% of the shares of Common Stock of the Issuer, respectively).
The good news is that even off-exchange, non-standard, off-shore derivatives contracts like this are held accountable by the SEC if constructed using real shares of stock.
Low Volume. Avoid like cancer. Options spreads are horrrrrrrible. Going down
Hello fellow investors. Can we be pretty sure Jonathon Bush will speak on CNBC defending the company? Worth a few American dollar bounce.
That was round 1. Round 2 comes when margin calls hit in about 2 days.
Looking at some Jun 16 $120 calls. Odd bid and ask. Will wait to see movement.
X axis : Stocks Price Correlation Coefficient Y axis : Quantity of stocks May-2016 1,000 Day Parameter 2,830 NASDAQ Stocks Price Analysis This stock mode of correlation coefficient is 0.7 In other words, the correlation coefficient of the other stock
stock retested after hours low $96+ this morning ---> more down side to go ...
Good buy at about $93
Looks like BUSHY will get whacked today along with his 'shareholders'....will watch closely how this company performs going forward.