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    Nickel Creek Platinum -- ehem Wellgreen Platinum / Prophecy Platinum / Pacific Coast (Seite 520)

    eröffnet am 17.12.10 17:20:37 von
    neuester Beitrag 14.03.24 17:02:08 von
    Beiträge: 6.732
    ID: 1.162.066
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    ISIN: CA65389F1009 · WKN: A2JBPR · Symbol: NCP
    0,0200
     
    CAD
    +33,33 %
    +0,0050 CAD
    Letzter Kurs 26.04.24 Toronto

    Werte aus der Branche Rohstoffe

    WertpapierKursPerf. %
    1,4700+28,95
    1,3200+17,86
    0,5650+13,00
    0,8400+12,75
    0,8947+11,85
    WertpapierKursPerf. %
    0,5700-8,06
    15,010-8,59
    3,3200-9,78
    3,9600-15,74
    12,000-25,00

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     Ja Nein
      Avatar
      schrieb am 13.08.11 09:18:48
      Beitrag Nr. 1.542 ()
      ist das schon bekannt ?

      http://www.stockhouse.com/Bullboards/MessageDetailThread.asp…


      What Is Chen Buying? What Is Chen Selling?
      Letter # 601
      August 10, 2011
      Update:

      I just came back from my Prophecy Platinum Corp (NKL.v) visit almost midnight yesterday(Tuesday) what a ride! I am sorry that I missed the excitement. The stock market came back in the last hour on Tuesday. It looks like program buying to me. In the mean time gold was hit, looks like program kicked in to buy stock market and sell gold. Gold stocks started to break out on Tuesday. This is the pattern I saw many times, especially in 2007 and 2008. When the market sold off, gold stocks were sold down with the general market. As soon as the market started to stabilize a little bit, gold stocks lead the general market to break out first. The difference this time is that there was no or little corrections in gold. I guess investors learned their lessons this time. After all the TARP, bailouts and QEs, people are not stupid, won't be fooled for the third time.
      I had a very good visit of nkl.v. Not only I was impressed the scale of the project, the spectacular drill results, I was very impressed by the people. I had lengthy discussions with its chairman John Lee, the legendary resource investor. A few years back John was an investor, just like you and me. Out of frustrations that resource companies kept disappointing their own shareholders, he started to run his own resource company. He has Rob McEwen, the Gold Corp founder as he adviser and sincerely focused on shareholder value. We discussed privately how many times companies screwed up, as recently as SWC, that completely trashed shareholder value. His strategy is very simple, sell the company in 12 months to majors to seek quick return. How much? We joked about one billion or more. His vision is try to reach a takeover target as soon as possible with minimum dilution. At that time, every shareholder, including himself, will be richly rewarded. Prophecy Coal Corp (PCY.v) will also benefit since its 45% ownership of NKL, it would receive a lot of funding from the sale.

      I was also impressed by the visitors of the trip. I met two well regarded investment bankers representing big Chinese mining companies, a family member of one of the world richest person representing south America mining interest, well known analysts from top firms like Raymond James, Canaccoord, RBC, Haywood and BMO etc. I feel nkl will likely do a PP with a strategic investor first.

      On the plane, I sat next to Dr Larry Hulbert, the geologist who researched Wellgreen 20 years ago. He is not associated with NKL but knows the property inside out. He told me that he believes Wellgreen has the potential to become the next Norilsk, the world largest PGM, nickel and copper mine. He told me the age of rock is very similar, the discovery process is similar. Norilsk found low grade material first, then the high grade. He pointed out that higher grade zones most likely to be found to the east, in the Burwash claim. I am glad to see in the first step out to the east towards Burwash, hole 184(results pending), they already intercepted massive sulphide. It seems to verify Dr. Hulbert theory.

      In conclusion, I had a very good visit of NKL.v. The company will need to raise some money, will need to strategize to focus on the best way to demonstrate the value of Wellgreen. I heard they are now focus on detailed drilling and scoping study on the high grade area first. That looks like a good approach. I feel it is safer to put my investment with John Lee, who really care about shareholder value vs companies that keep screwing their shareholders.

      As for the market, I feel our time has come. As soon as we see some stabilization of the market, which we will eventually, we should see huge rally in gold stocks. Tuesday is the proof, when many of my stocks up double digits. They are giving back some gains today, but only a little. Traders have huge cash on the sideline doing nothing, if not gradually leaking value. Fed is going to keep interest rate low till 2013 I don't think traders want to keep their cash burning till then. I started to compile the list of stocks that could have NKL.v type of moves in the second half of the year. I will gradually introduce them in future letters. You want to position yourself ahead of the trades not behind them. So fasten your seat belt and keep your eyes wild open. This is the time that traders should be very alert for opportunities.



      und dann noch dies ......

      http://www.stockhouse.com/Bullboards/MessageDetailThread.asp…


      REPORT UNDER PART 4
      Of
      NATIONAL INSTRUMENT 62-103
      1. Name and address of eligible institutional investor:
      Sprott Asset Management LP (the “Offeror”)
      200 Bay Street, Suite 2700, P.O. Box 27
      Royal Bank Plaza, South Tower
      Toronto, Ontario
      M5J 2J1
      2. The net increase or decrease in the number or principal amount of securities, and in
      the eligible institutional investor’s securityholding percentage in the class of
      securities, since the last report filed by the eligible institutional investor under Part
      4 or the early warning requirements:
      This is the initial report filed by the Offeror under Part 4 of NI 62-103 in respect of
      Prophecy Platinum Corp. (the “Issuer”).
      3. The designation and number or principal amount of securities and the eligible
      institutional investor's securityholding percentage in the class of securities at the
      end of the month for which the report is made:
      As at July 31, 2011, the Offeror on behalf of accounts fully managed by it, exercises
      control or direction over 5,200,011 common shares (the “Common Shares”) of the Issuer.
      Based on the number of currently issued and outstanding common shares (as reported by
      the Issuer), the Offeror exercises control or direction over 10.1% of the issued and
      outstanding common shares.
      4. The designation and number or principal amount of securities and the percentage of
      outstanding securities referred to in item 3 over which:
      (a) the eligible institutional investor, either alone or together with any joint
      actors, has ownership and control:
      The Offeror does not itself own any Common Shares or other securities of the Issuer.
      The only persons with whom the Offeror may be deemed by the Securities Act (Ontario)
      to be acting jointly and in concert with would be the entities referred to in Item 7 below.
      (b) the eligible institutional investor, either alone or together with any joint
      actors, has ownership but control is held by other entities other than the
      eligible institutional investor or any joint actors:
      None.
      - 2 -
      (c) the eligible institutional investor, either alone or together with any joint
      actors, has exclusive or shared control but does not have ownership:
      The Offeror exercises control or direction over all of the Common Shares referred to
      above in its capacity as portfolio manager of one or more managed accounts.
      5. The purpose of the eligible institutional investor and any joint actors in acquiring or
      disposing of ownership of, or control over, the securities, including any future
      intention to acquire ownership of, or control over, additional securities of the
      reporting issuer:
      The securities described herein are being held for investment purposes. Depending on
      market and other conditions, the Offeror may from time to time in the future increase or
      decrease its ownership, control or direction over the Common Shares or other securities
      of the Issuer, through market transactions, private agreements or otherwise.
      6. The general nature and the material terms of any agreement, other than lending
      arrangements, with respect to securities of the reporting issuer entered into by the
      eligible institutional investor, or any joint actor, and the issuer of the securities or
      any other entity in connection with any transaction or occurrence resulting in the
      change in ownership or control giving rise to the report, including agreements with
      respect to the acquisition, holding, disposition or voting of any of the securities:
      None.
      7. The names of any joint actors in connection with the disclosure required by this
      report:
      The Common Shares are held by the Sprott All Cap Fund, Sprott Canadian Equity Fund,
      Sprott Bull/Bear RSP Fund, Sprott Hedge Fund L.P., Sprott Hedge Fund L.P. II, Sprott
      Small Cap Hedge Fund, Sprott Master Fund Ltd., Sprott Master Fund II Ltd., and certain
      Sprott Managed Accounts.
      8. If applicable, a description of any change in any material fact set out in a previous
      report by the eligible institutional investor under the early warning requirements or
      Part 4 in respect of the reporting issuer’s securities:
      Not applicable.
      9. A statement that the eligible institutional investor is eligible to file reports under
      Part 4 in respect of the reporting issuer:
      The Offeror is eligible to file reports under Part 4 of NI 62-103 in respect of the Issuer.
      The filing of this report is not an admission that an entity named in the report owns or
      controls any described securities or is a joint actor with another named entity.
      - 3 -
      Dated this 10th day of August, 2011.
      SPROTT ASSET MANAGEMENT LP,
      by its General Partner, SPROTT
      6 Antworten?Die Baumansicht ist in diesem Thread nicht möglich.
      Avatar
      schrieb am 13.08.11 09:02:41
      Beitrag Nr. 1.541 ()
      Hab ich heut Nacht was verpasst? Ist es soweit der Krieg hat begonnen?:laugh:
      Leute bleibt mal cool, ich sehe keinen wirklichen Grund für die Kursabstürze. Das sind alles hausgemachte Probleme und sicherlich haben so manche Mächtigen da Ihre Fäden im Spiel. Aber das kann man locker aussitzen, da es sich meiner Ansicht nach nicht zu einer dauerhaften Krise entwickelt. Und wie sagte Eddie Murphy so schön: Verucht nie einen F..... zu f...... :laugh:.
      In 1 Monat sehen wir wieder für uns gute Kurse
      Avatar
      schrieb am 13.08.11 05:47:27
      Beitrag Nr. 1.540 ()
      mglw. gibt es hier die eine oder andere Antwort.

      http://video.google.com/videoplay?docid=-5690178627913306249…
      Avatar
      schrieb am 13.08.11 00:57:58
      Beitrag Nr. 1.539 ()
      Antwort auf Beitrag Nr.: 41.947.014 von Tigerbei5 am 13.08.11 00:48:40Die Verbrecher Politiker wie alle reichen,wollen euch verarschen,die wollen nicht das ihr gewinnen könnt,sie wollen das ihr auf die höhrt verliert und dann zu jeden Preiß für die Verbrecher Arbeiten müst,Die Politiker wo an der Macht sind wollen nur alles für die Industrie und reiche machen,dafür bekommen sie Aufsichtsratsposten oder sowas.Wer aber gut ist und lernen kann ,kann sich von den Elend irgendwann befreien.:kiss:;)
      Avatar
      schrieb am 13.08.11 00:48:40
      Beitrag Nr. 1.538 ()
      Antwort auf Beitrag Nr.: 41.946.992 von Tigerbei5 am 13.08.11 00:25:50Nochwas muß ich leider sagen,warum will man die kleinen Leute an die Börse ziehen,nur um sie ab zu Zocken,mehr auch nicht,wer Heute ein Investment Fonds Kauft Zahlt 5 % bei Kauf bei verkauf nochmal 5 % um gegen die Inflation Gewinn zu machen müsste der 15 % jedes Jahr steigen.Ich weiß es und Speckuliere auf meine Basis wo ich gewinnen oder verlieren kann,aber ich behalte die Oberhand dabei.:p
      1 Antwort?Die Baumansicht ist in diesem Thread nicht möglich.

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      Avatar
      schrieb am 13.08.11 00:25:50
      Beitrag Nr. 1.537 ()
      Antwort auf Beitrag Nr.: 41.946.988 von Tigerbei5 am 13.08.11 00:17:41Das was ich Heute für recht sicher empfinde ist das,ein eigenes Haus wo einen großen Garten hat wo man Obst und Gemüse anbauen kann,selber fast keine Unkosten und Ausgaben hat.Dazu um das zu Verteidigen was man noch hat, Waffen zum beschützen hat,und auch Gold wo nie Wertlos wird,aber den Preiß von Heute auch nicht halten wird.:eek:;)
      2 Antworten?Die Baumansicht ist in diesem Thread nicht möglich.
      Avatar
      schrieb am 13.08.11 00:17:41
      Beitrag Nr. 1.536 ()
      Antwort auf Beitrag Nr.: 41.946.929 von chriva am 12.08.11 23:39:51Nun,das mag in der Vergangenheit bestand gehabt haben,aber weißt du was Heute ist was ich sehe,gute Aktien 100 %oder mehr Gewinn fallen ins Bodenlose,sicher ist Heute mal garnichts mehr,und bei einer starken Inflation werden die Aktien ins Bodenlose zuerst sinken,auch wenn es dafür keinen Grund geben sollte,aber wenn man für Lebensmittel das 10 fachen bezahlt werden die Leute die Aktien für Essen Verkaufen.:eek::rolleyes:
      3 Antworten?Die Baumansicht ist in diesem Thread nicht möglich.
      Avatar
      schrieb am 13.08.11 00:02:42
      Beitrag Nr. 1.535 ()
      Zitat von chriva: .... Den verschuldeten Staaten wuerde eine Waehrungsreform oder eine hohe Inflation gut helfen .... auch hier haben gute Aktien handfeste Vorteile ....


      Richtig, der Vorteil liegt hier eindeutig in der Wertpapieranlage, da dieser Anlage feste Werte zugrunde liegen. Um an diese zu gelangen muss auch in Krisenzeiten bei Verknappung dafür entsprechend bezahlt werden.
      Avatar
      schrieb am 12.08.11 23:39:51
      Beitrag Nr. 1.534 ()
      .... woher nimmst Du denn den Vergleich mit 1929 ? Dies war von den Grundzuegen eine ganz andere Baustelle .... wenn aufgrund der aktuellen Situation ein richtig brutaler Crash kommt, wo fuehlst Du Dich dann finanziell sicher ? So schlecht sind gute Aktien in solch einem Fall auch nicht, denn diese Werte bleiben flexibel und passen sich dem Zeitwert an .... Geld auf dem Tageszinskonto oder unter dem Kissen waere da viel schlechter .....

      Gold ? Was ist wenn der Crash nicht so schnell kommt ?

      Den verschuldeten Staaten wuerde eine Waehrungsreform oder eine hohe Inflation gut helfen .... auch hier haben gute Aktien handfeste Vorteile ....

      Gruss

      Christian
      4 Antworten?Die Baumansicht ist in diesem Thread nicht möglich.
      Avatar
      schrieb am 12.08.11 22:10:59
      Beitrag Nr. 1.533 ()
      Antwort auf Beitrag Nr.: 41.946.660 von Tigerbei5 am 12.08.11 22:06:26Ich will Eigendlich nicht gerade in Aktien sein wenn bekannt wird das jetzt Frankreich und Deutschland auch Zahlungsunfähig werden,und das könnte bald kommen,wenn noch mehr Länder zusammen fallen wie ein Zuckerkuchen.:eek::cry:
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      Nickel Creek Platinum -- ehem Wellgreen Platinum / Prophecy Platinum / Pacific Coast