Die nächste TOURNIGAN? Ausbruch steht bevor! - 500 Beiträge pro Seite
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vor 18 Minuten | 2004 | |
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Meistdiskutierte Wertpapiere
Platz | vorher | Wertpapier | Kurs | Perf. % | Anzahl | ||
---|---|---|---|---|---|---|---|
1. | 1. | 18.194,74 | +0,18 | 222 | |||
2. | 2. | 152,34 | +12,59 | 167 | |||
3. | 3. | 0,1955 | +2,36 | 75 | |||
4. | 4. | 2.326,11 | +0,18 | 57 | |||
5. | 5. | 0,0313 | +95,63 | 49 | |||
6. | 7. | 4,7580 | +0,17 | 46 | |||
7. | 8. | 13,470 | -7,17 | 46 | |||
8. | 6. | 44,10 | +0,46 | 45 |
LGOV - die nächste Tournigan?
Tournigan ausgebrochen
LARGO VISTA kurz davor??
vom 28. März, News sollen in Kürze folgen!:
Largo Vista Group Signs 1.5B Oil Contract
Monday March 28, 6:00 am ET
NEWPORT BEACH, Calif.--(BUSINESS WIRE)--March 28, 2005--Largo Vista Group, Ltd. (OTCBB:LGOV - News) announced today that negotiations with Shanghai Offshore Oil Group (HK) Co., Ltd. have resulted in a signed contract (No. MZ07976). The contract is for 6,690,000 metric tons of fuel oil to be delivered within a 37-month period and will begin with 30,000 metric tons for the first 3 months and 200,000 metric tons monthly for 33 consecutive calendar months thereafter. The first delivery is scheduled for May 2005. Present day market values the contract at approximately 1.5 billion USD with the price based on Singapore Platt CIF China. Details of other terms and end users will be released prior to the first delivery.
Signing the final agreement is one of the highlights LGOV targeted in the pursuit of business opportunities in China. The nation is the largest fuel oil importer in the Asia Pacific region and this contract will give Largo Vista Group, Ltd. worldwide attention. With an approved price structure assuring LGOV profits, this milestone should move the company closer to a national market listing and help make the next move easier.
The company continues to remain focused on expanding their residential LPG pipeline systems. Each LPG project is contracted for a 40-year exclusive right-to-supply agreement. Largo Vista Group, Ltd. is the leader for residential LPG pipeline construction in Guizhou Province, which has a population of over 40 million.
Largo Vista Group Ltd. has headquarters in the U.S., with offices in both China and Vietnam. For more information, please visit: www.largovista.com.
The forward-looking statements in this release are made pursuant to the safe harbor provisions of the Private Securities Litigation Reform Act of 1995. Actual results may differ materially due to a variety of factors, including without limitation the Company`s ability to produce and market products and or services and other risks detailed from time to time in their Company`s reports with the Securities Exchange Commission.
--------------------------------------------------------------------------------
Contact:
Largo Vista Group
Investor Relations, 949-252-2180
--------------------------------------------------------------------------------
Source: Largo Vista Group, Ltd.
Tournigan ausgebrochen
LARGO VISTA kurz davor??
vom 28. März, News sollen in Kürze folgen!:
Largo Vista Group Signs 1.5B Oil Contract
Monday March 28, 6:00 am ET
NEWPORT BEACH, Calif.--(BUSINESS WIRE)--March 28, 2005--Largo Vista Group, Ltd. (OTCBB:LGOV - News) announced today that negotiations with Shanghai Offshore Oil Group (HK) Co., Ltd. have resulted in a signed contract (No. MZ07976). The contract is for 6,690,000 metric tons of fuel oil to be delivered within a 37-month period and will begin with 30,000 metric tons for the first 3 months and 200,000 metric tons monthly for 33 consecutive calendar months thereafter. The first delivery is scheduled for May 2005. Present day market values the contract at approximately 1.5 billion USD with the price based on Singapore Platt CIF China. Details of other terms and end users will be released prior to the first delivery.
Signing the final agreement is one of the highlights LGOV targeted in the pursuit of business opportunities in China. The nation is the largest fuel oil importer in the Asia Pacific region and this contract will give Largo Vista Group, Ltd. worldwide attention. With an approved price structure assuring LGOV profits, this milestone should move the company closer to a national market listing and help make the next move easier.
The company continues to remain focused on expanding their residential LPG pipeline systems. Each LPG project is contracted for a 40-year exclusive right-to-supply agreement. Largo Vista Group, Ltd. is the leader for residential LPG pipeline construction in Guizhou Province, which has a population of over 40 million.
Largo Vista Group Ltd. has headquarters in the U.S., with offices in both China and Vietnam. For more information, please visit: www.largovista.com.
The forward-looking statements in this release are made pursuant to the safe harbor provisions of the Private Securities Litigation Reform Act of 1995. Actual results may differ materially due to a variety of factors, including without limitation the Company`s ability to produce and market products and or services and other risks detailed from time to time in their Company`s reports with the Securities Exchange Commission.
--------------------------------------------------------------------------------
Contact:
Largo Vista Group
Investor Relations, 949-252-2180
--------------------------------------------------------------------------------
Source: Largo Vista Group, Ltd.
Geschäftsfeld:
Öl und Gas Transport
Letzter Auftrag vom 18. März
über 1,5 Mrd. Dollar!!!!!!
LARGO VISTA erhält nur durch diesen Auftrag
eine garantierte Minimum(könnte auch mehr sein, News dazu sollen in Kürze folgen) Zahlung von $400.000/Monat für insgesamt 3 Jahre!
Macht $4,8mio./Jahr. Bei 270mio. outstanding shares
ergibt das ein KGV von 8,25 (NUR DURCH DIESEN EINEN AUFTRAG!)
Aus einem Ragingbull Beitrag:
Posted by: bobby23
In reply to: galaxykirk who wrote msg# 388
Date:4/14/2005 11:58:41 AM
Post #of 390
LGOV will get a fantastic PR tomorrow, I spoke with their director of investment relations, and he told me specifically, that they will show a net gain for this quarter and have signed 2 new contracts worth 750M combined. This is going to be huge! Prices are down, and this is a great time to still get in!
-Bobby
Öl und Gas Transport
Letzter Auftrag vom 18. März
über 1,5 Mrd. Dollar!!!!!!
LARGO VISTA erhält nur durch diesen Auftrag
eine garantierte Minimum(könnte auch mehr sein, News dazu sollen in Kürze folgen) Zahlung von $400.000/Monat für insgesamt 3 Jahre!
Macht $4,8mio./Jahr. Bei 270mio. outstanding shares
ergibt das ein KGV von 8,25 (NUR DURCH DIESEN EINEN AUFTRAG!)
Aus einem Ragingbull Beitrag:
Posted by: bobby23
In reply to: galaxykirk who wrote msg# 388
Date:4/14/2005 11:58:41 AM
Post #of 390
LGOV will get a fantastic PR tomorrow, I spoke with their director of investment relations, and he told me specifically, that they will show a net gain for this quarter and have signed 2 new contracts worth 750M combined. This is going to be huge! Prices are down, and this is a great time to still get in!
-Bobby
€ 1- kommt noch diese woche
Noch was, wenn ihr das Teil
kaufen wollt, dann bitte in den
USA!
In D so gut wie kein Umsatz,
USA aber dafür average 1,5mio Aktien/Tag!
kaufen wollt, dann bitte in den
USA!
In D so gut wie kein Umsatz,
USA aber dafür average 1,5mio Aktien/Tag!
Hi Wallgrekk,
wenn das so eine sensationelle Nachricht ist, warum fällt largo dann nach dem kurzen Hype Ende März wieder so in sich zusammen?
casta
wenn das so eine sensationelle Nachricht ist, warum fällt largo dann nach dem kurzen Hype Ende März wieder so in sich zusammen?
casta
$40 Mrd. gibt die Regierung für die nächsten
10 Jahre in Sachen Öl und Gas Versorgung (Infrastruktur) aus...und LGOV verhandelt mit!!
Der erste Vertrag wurde bereits gemacht!
Dämmert`s?
von Februar diesen Jahres:
http://www.largovista.com/lgovproject5.pdf
10 Jahre in Sachen Öl und Gas Versorgung (Infrastruktur) aus...und LGOV verhandelt mit!!
Der erste Vertrag wurde bereits gemacht!
Dämmert`s?
von Februar diesen Jahres:
http://www.largovista.com/lgovproject5.pdf
casta, LARGO hat
in den letzten 200 Tagen knapp
+800% gemacht!
Wer will da zwischendurch nicht
mal Gewinne mitnehmen??
Aber das schöne ist, es steht ja
noch Großes bevor!
in den letzten 200 Tagen knapp
+800% gemacht!
Wer will da zwischendurch nicht
mal Gewinne mitnehmen??
Aber das schöne ist, es steht ja
noch Großes bevor!
by the way:
LARG VISTA hat in den letzten
10 Tagen schon +30% gemacht - OHNE NEWS!
LARG VISTA hat in den letzten
10 Tagen schon +30% gemacht - OHNE NEWS!
.
und bitte bitte:
IN DEN USA KAUFEN!!
Parität hier in D definitiv zu hoch!!
IN DEN USA KAUFEN!!
Parität hier in D definitiv zu hoch!!
Heute news?
.
.?
Noch eine Std. bis
zur Ami Eröffnung!
zur Ami Eröffnung!
.<--- Lesezeichen
damit Du den Thread nicht
verlierst?
verlierst?
Aus einem anderen Board:
Kurs $3-$4??
05-09-2005, 05:44 PM
CATFISH_PAUL CATFISH_PAUL is online now
Moderator
Join Date: Dec 2004
Location: michigan
Posts: 1,381 | Points: 6257.85 (Donate) CATFISH_PAUL is on a distinguished road
just got off the phone with investers relations and they are looking for the pps to reach $3.00-$4.00 per share that it is way undervalued and as of now everything is on schedual. they are looking to get on nasdeq real soon. he also was talking about their core buisness which is running and pipleines. they have 6 projects going and 4 or 5 are complete which bring in great revenue and they can be seen on the websight. outlook is phenominal for the company. looking real good in my opinion. cant wait to see what the coming months will bring. i had read the 3-4 doller thing in other forums and didnt beleive it and is part of the reason i called. the shares paid to the company are all restricted and can not be sold in the open market. he also said their will be no dilution of stock going on. oh and that the contract was actually 1.8 billion dollers and they were conservative on the pr because of reprocusions from the sec. he said imidiatly after they posted the pr about the contract the sec said they better prove this or they will suspend trading and that is why the sec filing on the contract came out so quick. i am trying to remember all that was said the return call caught me off guard i was out riding my bike. oh one more thing all the top officials of the company are in china at this time. he didnt say why but lets hope it is sighning new contracts or it could be just them finalizing the one they have
__________________
lets all help each other make some cash!
Kurs $3-$4??
05-09-2005, 05:44 PM
CATFISH_PAUL CATFISH_PAUL is online now
Moderator
Join Date: Dec 2004
Location: michigan
Posts: 1,381 | Points: 6257.85 (Donate) CATFISH_PAUL is on a distinguished road
just got off the phone with investers relations and they are looking for the pps to reach $3.00-$4.00 per share that it is way undervalued and as of now everything is on schedual. they are looking to get on nasdeq real soon. he also was talking about their core buisness which is running and pipleines. they have 6 projects going and 4 or 5 are complete which bring in great revenue and they can be seen on the websight. outlook is phenominal for the company. looking real good in my opinion. cant wait to see what the coming months will bring. i had read the 3-4 doller thing in other forums and didnt beleive it and is part of the reason i called. the shares paid to the company are all restricted and can not be sold in the open market. he also said their will be no dilution of stock going on. oh and that the contract was actually 1.8 billion dollers and they were conservative on the pr because of reprocusions from the sec. he said imidiatly after they posted the pr about the contract the sec said they better prove this or they will suspend trading and that is why the sec filing on the contract came out so quick. i am trying to remember all that was said the return call caught me off guard i was out riding my bike. oh one more thing all the top officials of the company are in china at this time. he didnt say why but lets hope it is sighning new contracts or it could be just them finalizing the one they have
__________________
lets all help each other make some cash!
.
soso, in Berlin also schon 40.000 im Bid.
Warum kauft ihr nicht in den USA?
Warum kauft ihr nicht in den USA?
LARGO VISTA
USA $0,135 +3,9%
USA $0,135 +3,9%
RE: Largo
Ich hab mir mal ein paar Stücke davon in den USA gekauft.
SOM
Ich hab mir mal ein paar Stücke davon in den USA gekauft.
SOM
SOM, gut.
Ich bin sehr zuversichtlich,
hoffen wir das Beste!
Ich bin sehr zuversichtlich,
hoffen wir das Beste!
RE: Largo
das sieht so aus, als ob die so ne Art Gasversorger in China sind, und auch die Infrastrutur dafür bauen.
SOM
das sieht so aus, als ob die so ne Art Gasversorger in China sind, und auch die Infrastrutur dafür bauen.
SOM
Du sagst es. Eher nach Vietnam.
Das Gas (1.5Mrd. Dollar Auftrag) geht
sogar von Russland nach China.
Es gibt eine kleine "Provinz" in Vietnam,
mit ca. 40mio. Einwohnern. Die dortige Regierung
hat LARGO VISTA u.a. dazu beauftragt, die Versorgung
durch Kohle auf Gas umzustellen.
Geht auch unter den Begriff "Infrastruktur"
In den nächsten 10 Jahren will die Regierung
dafür 40Mrd. Dollar ausgeben. LARGO VISTA ist
da ganz vorne dabei. Verhandlungen laufen aber
noch...
Also wahnsinns Potential!
....more to follow...
Das Gas (1.5Mrd. Dollar Auftrag) geht
sogar von Russland nach China.
Es gibt eine kleine "Provinz" in Vietnam,
mit ca. 40mio. Einwohnern. Die dortige Regierung
hat LARGO VISTA u.a. dazu beauftragt, die Versorgung
durch Kohle auf Gas umzustellen.
Geht auch unter den Begriff "Infrastruktur"
In den nächsten 10 Jahren will die Regierung
dafür 40Mrd. Dollar ausgeben. LARGO VISTA ist
da ganz vorne dabei. Verhandlungen laufen aber
noch...
Also wahnsinns Potential!
....more to follow...
Bolinger Bands kommen
immer näher zusammen.
Es braut sich also was zusammen.
Hoffen wir das Beste!
immer näher zusammen.
Es braut sich also was zusammen.
Hoffen wir das Beste!
+3,1%
Keine nennenswerte Verkäufe
heute!!!
Die Ruhe vor dem Sturm?!
Keine nennenswerte Verkäufe
heute!!!
Die Ruhe vor dem Sturm?!
Eiegntlich könnte man
die Thread Überschrift streichen...
denn Tournigan kommt wieder zurück...
Eher vielleicht:
"LARGO VISTA - die bessere Tournigan"
die Thread Überschrift streichen...
denn Tournigan kommt wieder zurück...
Eher vielleicht:
"LARGO VISTA - die bessere Tournigan"
ein Ross Hook ( Ross hacken ) ist eine Chartformation, der
Joe Ross als Tradingformation nutzt.
Joe Ross und seine Familie sind alte Hasen auf dem Parket.
Ich habe mal ein Bild eingestellt und einen Link zu einer
Buchbesprechung.
Für Largo bedeutet es, wenn kein Rücksetzer unter 0,09, dann Kauf bei 0,16 !
Zum Vergleich:
Joe Ross als Tradingformation nutzt.
Joe Ross und seine Familie sind alte Hasen auf dem Parket.
Ich habe mal ein Bild eingestellt und einen Link zu einer
Buchbesprechung.
Für Largo bedeutet es, wenn kein Rücksetzer unter 0,09, dann Kauf bei 0,16 !
Zum Vergleich:
Also dann heute auf zur $0.16
Cool, bei w:o
ist LGOV bei den Top Stocks
unter die Top 50 gerutscht!
Akt. #46
Willkommen an Board!
ist LGOV bei den Top Stocks
unter die Top 50 gerutscht!
Akt. #46
Willkommen an Board!
Schon traurig das der Berliner Makler nicht fähig ist in manchen Werten Quotes zu stellen!
Es fehlen aber etwas die Umsätze in dem Papier auch in USA eher rückläufig!
Es fehlen aber etwas die Umsätze in dem Papier auch in USA eher rückläufig!
Peer, ja. Berlin ist schon
unter aller Sau. Daher: Auf
jeden Fall in den USA kaufen.
Schön ist, dass dort absolut null
Verkaufsdruck herrscht. Hier traut
sich gar niemand, den Wert zu shorten
weil alle auf den großen Ausbruch warten!
unter aller Sau. Daher: Auf
jeden Fall in den USA kaufen.
Schön ist, dass dort absolut null
Verkaufsdruck herrscht. Hier traut
sich gar niemand, den Wert zu shorten
weil alle auf den großen Ausbruch warten!
Wichtig:
Möglicherweise sehen wir noch News
vor dem 16. Juni, spätestens jedoch am 16.Juni
Aus dem RB, (gute Due Dilligence!!)
By: DonD
09 Jun 2005, 03:09 AM EDT
Msg. 92917 of 92918
Jump to msg. #
As of now, the shipment is not late!
The delivery of the first shipment is to be carried out within a maximum of 90 days from the date of signing the Contract and it was signed on the 18th day of March. (As March has 31 days and May has 31 days, wouldn`t a maximum of 90 days for delivery from 18 March be no later than the 16th of June?)
http://www.sec.gov/Archives/edgar/data/915471/00012660680500…
AGREEMENT AND ASSIGNMENT OF CERTAIN
CONTRACTUAL RIGHTS AND BENEFITS
THIS AGREEMENT AND ASSIGNMENT OF CERTAIN CONTRACTUAL RIGHTS AND BENEFITS (“Agreement”) is made and entered into as of this 18th day of March, 2005 by and between Shanghai Offshore Oil Group (HK) Co., Ltd ("Shanghai Oil”), and Largo Vista Group, Ltd, a Nevada corporation, having its principal office at 4570 Campus Drive, Newport Beach, California, CA 92660 (“Largo Vista”). Largo Vista and Shanghai Oil are collectively referred to in this agreement as the "Parties".
2. Delivery Terms.
2.1. The delivery of the Goods is to be made in accordance with Delivery schedule - Annex No 2.
2.2 The delivery of the first set of the Goods is carried out within maximum 90 days from the date of signing the present Contract.
2.3 The delivery of next lots of the Goods is to be carried out within 30 (thirty) days upon date of delivery of the previous shipment.
So where do some people get the idea that they can pick a date and say the shipment is late when if you were to just read the contract it clearly states the first shipment is due no later than the 16th of June.
(Voluntary Disclosure: Position- Long)
Möglicherweise sehen wir noch News
vor dem 16. Juni, spätestens jedoch am 16.Juni
Aus dem RB, (gute Due Dilligence!!)
By: DonD
09 Jun 2005, 03:09 AM EDT
Msg. 92917 of 92918
Jump to msg. #
As of now, the shipment is not late!
The delivery of the first shipment is to be carried out within a maximum of 90 days from the date of signing the Contract and it was signed on the 18th day of March. (As March has 31 days and May has 31 days, wouldn`t a maximum of 90 days for delivery from 18 March be no later than the 16th of June?)
http://www.sec.gov/Archives/edgar/data/915471/00012660680500…
AGREEMENT AND ASSIGNMENT OF CERTAIN
CONTRACTUAL RIGHTS AND BENEFITS
THIS AGREEMENT AND ASSIGNMENT OF CERTAIN CONTRACTUAL RIGHTS AND BENEFITS (“Agreement”) is made and entered into as of this 18th day of March, 2005 by and between Shanghai Offshore Oil Group (HK) Co., Ltd ("Shanghai Oil”), and Largo Vista Group, Ltd, a Nevada corporation, having its principal office at 4570 Campus Drive, Newport Beach, California, CA 92660 (“Largo Vista”). Largo Vista and Shanghai Oil are collectively referred to in this agreement as the "Parties".
2. Delivery Terms.
2.1. The delivery of the Goods is to be made in accordance with Delivery schedule - Annex No 2.
2.2 The delivery of the first set of the Goods is carried out within maximum 90 days from the date of signing the present Contract.
2.3 The delivery of next lots of the Goods is to be carried out within 30 (thirty) days upon date of delivery of the previous shipment.
So where do some people get the idea that they can pick a date and say the shipment is late when if you were to just read the contract it clearly states the first shipment is due no later than the 16th of June.
(Voluntary Disclosure: Position- Long)
Wir arbeiten uns nach vorne:
#39 bei w:o
TOP STOCKS!
#39 bei w:o
TOP STOCKS!
Sie liegen momentan exakt auf der langfristigen Trendline auf, ich würde erst warten, ob der Trend sich in den nächsten Tagen bestätigt. Sonst hast Du das Bild wie am 26.05. wo er die Trendline unterschritten hat, dort fand dann erst die Bodenbildung bei 0,10 statt. Der Rebound hat es wieder in den Trendkanal geschafft, dessen Entwicklung darauffolgend bestätigt wurde. Aber momentan steht sie dort auf der Kippe. Wenn Du Fibonacci exakt anlegst kommst Du auf eine Unterstützung bei 0,093, dass ist dann die Line die angetestet werden kann, falls der Trend heute nicht bestätigt wird. Ist in meinen Augen heute sehr spekulativ. Aber trotzdem wünsche ich Dir viel Glück dabei. Viele Grüße Peer
Peer, danke!
Mir ist charttechnisch klar, dass
wir uns kurz vor einem großen Move
bewegen.
Aber nachdem der Deal per SEC gefilt
wurde, bleibe ich selbstverständlich
optimistisch!
Gruß,
Mir ist charttechnisch klar, dass
wir uns kurz vor einem großen Move
bewegen.
Aber nachdem der Deal per SEC gefilt
wurde, bleibe ich selbstverständlich
optimistisch!
Gruß,
.
.
Handel in den USA beginnt!
15min. verzögert
New Low 0,465
New Low 0,465
sorry, falscher Thread!
New Low 0,465 ??
0,465 wäre ja schön...
aber war der falsche Thread...
LGOV dafür drüben Bid/Ask up!!
aber war der falsche Thread...
LGOV dafür drüben Bid/Ask up!!
Wir sind erst bei 0,134
...dafür aber lockere 3,1% im Plus...
...dafür aber lockere 3,1% im Plus...
seid ihr noch da?
hier eine Meinung eines
Charttechnikers:
einen Beitrag nach oben #13 von Bohly Userinfo Nachricht an User Beiträge des Users ausblenden 09.06.05 23:49:40 Beitrag Nr.: 16.853.220
Dieses Posting: versenden | melden | drucken | Antwort schreiben
Moin Wallgrekk,
also, dann will ich mich mal hier versuchen,
1. es sind keine Divergenzen sichtbar
-- also, aus der Betrachtung, keine Trendvorhersage
2. ein Tief bei 0,67 ein nachfolgendes Hoch bei 0,14
-- wenn die 0,14 erreicht werden, dann unbedingt ein Kauf
-- bei 0,145 und das SL auf das Vortages Tief
3. ein Dreieck entsteht, welches ein Bearishes Verhalten aufweist,
-- Nicht unbedingt ein Gutes Zeichen für einen Einkauf
4. IHK generiert ein Bullisches Signal in den Nächsten Tagen
5. Volumen und damit das Interesse an dem Titel sind in der letzten Woche angestiegen
--wenn ein Kaufsignal entsteht, dann ein plus mehr dafür.
6. Abstände zu gl. Durchschnitten in Punkten und %:
--38 Tage 0,10 -1,90% ;100 Tage 0,10 -3,60%; 200 Tage 0,06 38,50%
Fazit:
Das Magische Bearishe Dreieck würde sich zur jetzigen woche bei 0,13 auflösen und damit das 1. longzeichen geben
Solange der Titel nicht unter 0,8 fällt ist ein Rosshacken möglich, welches bei 0,145 ein Kaufsignal impliziert mit immenser Wirkung ohne Hinblick auf Volumen. und damit das 2. und letzte Kaufsignal in diesem Titel.
eine Bestätigung finde ich für einen Kauf bei 0,145 den Abstand zur 200 Tage linie, der Heute bei 0,16 steht,
wenn man sich ansieht, von woher der Titel seit Dez kommt, dann ist es bestimmt ein Kauf bei 0,145,
nur ist das eintreten des Szenarios etwas unwahrscheinlich, denn das Verhalten BIS Dez. war doch etwas Gradlinig bei 0,01 bis 0,015. Das kann ich nur mit Fundierten Fakten (kapitalisierung...) einschätzen
Also kauf bei 0,145 und als verloren geben bei 0,065
Der IHK weißt darauf hin, daß bei erreichen von 0,1044 ( diese Woche )
der Weg zu einem eintreten des ersten longsignals und das eingeben einer SB Position zu 0,145 Euro in die Ordermaske keine Verschwendete Zeit ist.
Der Chart ( hellblau und dick ):
so, das ist meine Meinung, vielleicht kommt ja ein gutes Ende,bei 0,11 werde ich meine Ordermaske füllen,
Good Trades
Bohly
Ps.: Bei weiteren Fragen oder Anregungen stehe ich gerne zur Seite, es lohnt sich immer Erfahrungen auszutauschen!
Charttechnikers:
einen Beitrag nach oben #13 von Bohly Userinfo Nachricht an User Beiträge des Users ausblenden 09.06.05 23:49:40 Beitrag Nr.: 16.853.220
Dieses Posting: versenden | melden | drucken | Antwort schreiben
Moin Wallgrekk,
also, dann will ich mich mal hier versuchen,
1. es sind keine Divergenzen sichtbar
-- also, aus der Betrachtung, keine Trendvorhersage
2. ein Tief bei 0,67 ein nachfolgendes Hoch bei 0,14
-- wenn die 0,14 erreicht werden, dann unbedingt ein Kauf
-- bei 0,145 und das SL auf das Vortages Tief
3. ein Dreieck entsteht, welches ein Bearishes Verhalten aufweist,
-- Nicht unbedingt ein Gutes Zeichen für einen Einkauf
4. IHK generiert ein Bullisches Signal in den Nächsten Tagen
5. Volumen und damit das Interesse an dem Titel sind in der letzten Woche angestiegen
--wenn ein Kaufsignal entsteht, dann ein plus mehr dafür.
6. Abstände zu gl. Durchschnitten in Punkten und %:
--38 Tage 0,10 -1,90% ;100 Tage 0,10 -3,60%; 200 Tage 0,06 38,50%
Fazit:
Das Magische Bearishe Dreieck würde sich zur jetzigen woche bei 0,13 auflösen und damit das 1. longzeichen geben
Solange der Titel nicht unter 0,8 fällt ist ein Rosshacken möglich, welches bei 0,145 ein Kaufsignal impliziert mit immenser Wirkung ohne Hinblick auf Volumen. und damit das 2. und letzte Kaufsignal in diesem Titel.
eine Bestätigung finde ich für einen Kauf bei 0,145 den Abstand zur 200 Tage linie, der Heute bei 0,16 steht,
wenn man sich ansieht, von woher der Titel seit Dez kommt, dann ist es bestimmt ein Kauf bei 0,145,
nur ist das eintreten des Szenarios etwas unwahrscheinlich, denn das Verhalten BIS Dez. war doch etwas Gradlinig bei 0,01 bis 0,015. Das kann ich nur mit Fundierten Fakten (kapitalisierung...) einschätzen
Also kauf bei 0,145 und als verloren geben bei 0,065
Der IHK weißt darauf hin, daß bei erreichen von 0,1044 ( diese Woche )
der Weg zu einem eintreten des ersten longsignals und das eingeben einer SB Position zu 0,145 Euro in die Ordermaske keine Verschwendete Zeit ist.
Der Chart ( hellblau und dick ):
so, das ist meine Meinung, vielleicht kommt ja ein gutes Ende,bei 0,11 werde ich meine Ordermaske füllen,
Good Trades
Bohly
Ps.: Bei weiteren Fragen oder Anregungen stehe ich gerne zur Seite, es lohnt sich immer Erfahrungen auszutauschen!
NEWS!
http://www.pinksheets.com/quote/news.jsp?url=fis_story.asp%3…
Ein sog. "Equity Swap" hat stattgefunden:
There is a third alternative: the equity swap. The investment manager at Bulldog calls up First Derivatives bank and asks for an S&P 500 swap in which the fund pays First Derivatives some money market return in exchange for receiving the return on the S&P 500 index for a period of five years with monthly payments. The return on the S&P 500 index consists of capital gains as well as income distributions.
The structure is easy for the passive investment manager to implement administratively. And it fully accomplishes the goal with very little costs. Index trading funds typically have much lower costs associated with them.
There are also tax advantages or ownership advantages associated with equity swaps.
Let`s say that you own $100 million of stock in Acme Tool & Die. The stock has gone up 50% in the past year and you want to take profit but you do not want to forfeit the shares. You just want someone to give you some money today for the capital gains and income distributions of that Acme Stock for the next five years. So you enter into an equity swap.
This is how one version of the equity swap would work.
You call up First Derivatives bank and tell them you want to enter into an equity swap in which you would pay the total return on Acme Tool & Die stock at one year intervals for the next five years in exchange for which you would receive from First Derivatives bank the payment of some money market index less a spread on the notional amount of the equities involved.
Let`s say that you enter the equity swap for $100 million of Acme stock and that the money market index is the London Interbank Offered Rate (LIBOR). The spread adjustment in this case is assumed to be 25 basis points (or 0.25%).
Every year you receive from First Derivatives bank the floating rate payment of $100 million multiplied by (LIBOR-0.25%) and you pay First Derivatives bank the total return on the Acme stock.
The total return is calculated to be the sum of the dividend pay-outs on the $100 million of Acme stock and the capital gains or losses on the stock. Note that if the total return is negative, First Derivatives Bank will be making a payment to you, in addition to the payment of (LIBOR - 0.25%). The total return that you earn on your underlying stock exactly offsets the total return compensation you make to or receive from First Derivatives Bank.
You have not booked any capital gains on your Acme Stock. The equity swap on an individual stock like this is not a taxable event. Plus, you have retained the ownership rights to the Acme stock you own. You get to vote on the new Acme business plan at the annual shareholders` meeting. Nobody at Acme will know that you are not participating in the ups and downs of the stock.
Equity swaps also make it easier for the emerging markets fund manager.
Emerging markets (and foreign markets, generally) are often illiquid, making it prohibitively dangerous and expensive to use a value-driven stock-picking strategy. This is not to say that investing in emerging markets is to be avoided, though. Under the right economic conditions, emerging markets can deliver outstanding performance compared to developed market returns. But liquidity and flexibility, the nimbleness with which one can get out of a bad position, are important considerations in any investment strategy. Equity swaps make this easier.
An emerging markets investment manager can call up First Derivatives bank and ask for an equity swap on the South Korean stock market (one of the hottest equity markets of early 1999).
The equity swap is more convenient for the investment manager for several reasons
Read the rest at
http://www.finpipe.com/equityswaps.htm
http://www.pinksheets.com/quote/news.jsp?url=fis_story.asp%3…
Ein sog. "Equity Swap" hat stattgefunden:
There is a third alternative: the equity swap. The investment manager at Bulldog calls up First Derivatives bank and asks for an S&P 500 swap in which the fund pays First Derivatives some money market return in exchange for receiving the return on the S&P 500 index for a period of five years with monthly payments. The return on the S&P 500 index consists of capital gains as well as income distributions.
The structure is easy for the passive investment manager to implement administratively. And it fully accomplishes the goal with very little costs. Index trading funds typically have much lower costs associated with them.
There are also tax advantages or ownership advantages associated with equity swaps.
Let`s say that you own $100 million of stock in Acme Tool & Die. The stock has gone up 50% in the past year and you want to take profit but you do not want to forfeit the shares. You just want someone to give you some money today for the capital gains and income distributions of that Acme Stock for the next five years. So you enter into an equity swap.
This is how one version of the equity swap would work.
You call up First Derivatives bank and tell them you want to enter into an equity swap in which you would pay the total return on Acme Tool & Die stock at one year intervals for the next five years in exchange for which you would receive from First Derivatives bank the payment of some money market index less a spread on the notional amount of the equities involved.
Let`s say that you enter the equity swap for $100 million of Acme stock and that the money market index is the London Interbank Offered Rate (LIBOR). The spread adjustment in this case is assumed to be 25 basis points (or 0.25%).
Every year you receive from First Derivatives bank the floating rate payment of $100 million multiplied by (LIBOR-0.25%) and you pay First Derivatives bank the total return on the Acme stock.
The total return is calculated to be the sum of the dividend pay-outs on the $100 million of Acme stock and the capital gains or losses on the stock. Note that if the total return is negative, First Derivatives Bank will be making a payment to you, in addition to the payment of (LIBOR - 0.25%). The total return that you earn on your underlying stock exactly offsets the total return compensation you make to or receive from First Derivatives Bank.
You have not booked any capital gains on your Acme Stock. The equity swap on an individual stock like this is not a taxable event. Plus, you have retained the ownership rights to the Acme stock you own. You get to vote on the new Acme business plan at the annual shareholders` meeting. Nobody at Acme will know that you are not participating in the ups and downs of the stock.
Equity swaps also make it easier for the emerging markets fund manager.
Emerging markets (and foreign markets, generally) are often illiquid, making it prohibitively dangerous and expensive to use a value-driven stock-picking strategy. This is not to say that investing in emerging markets is to be avoided, though. Under the right economic conditions, emerging markets can deliver outstanding performance compared to developed market returns. But liquidity and flexibility, the nimbleness with which one can get out of a bad position, are important considerations in any investment strategy. Equity swaps make this easier.
An emerging markets investment manager can call up First Derivatives bank and ask for an equity swap on the South Korean stock market (one of the hottest equity markets of early 1999).
The equity swap is more convenient for the investment manager for several reasons
Read the rest at
http://www.finpipe.com/equityswaps.htm
Für alle nicht Ragingbull Leser:
Remember, Albert bought 3.8mio shares on 03/21/05
So that was 3 days after signing the contract!
I think THAT is a sign of trust, isn`t it?
http://www.sec.gov/Archives/edgar/data/915471/00012576010500…
(Voluntary Disclosure: Position- Long; ST Rating- Strong Buy; LT Rating- Strong Buy)
Remember, Albert bought 3.8mio shares on 03/21/05
So that was 3 days after signing the contract!
I think THAT is a sign of trust, isn`t it?
http://www.sec.gov/Archives/edgar/data/915471/00012576010500…
(Voluntary Disclosure: Position- Long; ST Rating- Strong Buy; LT Rating- Strong Buy)
mal wieder was zu den Fakten
und noch etwas Research:
some more DD:
In April 2005, the Company has prepared 15 stock certificates for an aggregate for 97,364,597 shares of common stock. These stock certificates are payable to Shanghai Oil but are currently in the custody of the Company’s Secretary and Treasurer, and accordingly not deemed outstanding. The certificates will be delivered to Shanghai Oil at 33,333,333 shares per year, commencing May 2005 when the first shipment is consummated.
did you get the last sentence?
"when first shipment is consummated"
look at the latest filing. Shares were already given to S/O, so the shipment took already place.
-------------------------------
calculate the facts and you`ll see how undervalued LARGO VISTA is:
At present LARGO VISTA has 270mio. shares outstanding (the 100mio. shares for Shanghai Oil are NOT outstanding)
With the S/O contract LARGO VISTA earns $4.8mio/year
(don`t forget that this is calculated with the guaranteed MINIMUM of $2/metric tonnes - so could be even more!!)
That means LARGO VISTA earns $0,0177/share
With the current price of $0,13 this means that the Price Earning Ratio is at 7.3 only with this one contract!!!!
Remember THIS posting?
Posted by: bobby23
In reply to: galaxykirk who wrote msg# 388
Date:4/14/2005 11:58:41 AM
Post #of 390
LGOV will get a fantastic PR tomorrow, I spoke with their director of investment relations, and he told me specifically, that they will show a net gain for this quarter and have signed 2 new contracts worth 750M combined. This is going to be huge! Prices are down, and this is a great time to still get in!
-Bobby
And maybe you already read THIS, too?
05-09-2005, 05:44 PM
CATFISH_PAUL CATFISH_PAUL is online now
Moderator
Join Date: Dec 2004
Location: michigan
Posts: 1,381 | Points: 6257.85 (Donate) CATFISH_PAUL is on a distinguished road
just got off the phone with investers relations and they are looking for the pps to reach $3.00-$4.00 per share that it is way undervalued and as of now everything is on schedual. they are looking to get on nasdeq real soon. he also was talking about their core buisness which is running and pipleines. they have 6 projects going and 4 or 5 are complete which bring in great revenue and they can be seen on the websight. outlook is phenominal for the company. looking real good in my opinion. cant wait to see what the coming months will bring. i had read the 3-4 doller thing in other forums and didnt beleive it and is part of the reason i called. the shares paid to the company are all restricted and can not be sold in the open market. he also said their will be no dilution of stock going on. oh and that the contract was actually 1.8 billion dollers and they were conservative on the pr because of reprocusions from the sec. he said imidiatly after they posted the pr about the contract the sec said they better prove this or they will suspend trading and that is why the sec filing on the contract came out so quick. i am trying to remember all that was said the return call caught me off guard i was out riding my bike. oh one more thing all the top officials of the company are in china at this time. he didnt say why but lets hope it is sighning new contracts or it could be just them finalizing the one they have
__________________
lets all help each other make some cash!
So with all that DD, what do you really think?
Will it go up or down?
und noch etwas Research:
some more DD:
In April 2005, the Company has prepared 15 stock certificates for an aggregate for 97,364,597 shares of common stock. These stock certificates are payable to Shanghai Oil but are currently in the custody of the Company’s Secretary and Treasurer, and accordingly not deemed outstanding. The certificates will be delivered to Shanghai Oil at 33,333,333 shares per year, commencing May 2005 when the first shipment is consummated.
did you get the last sentence?
"when first shipment is consummated"
look at the latest filing. Shares were already given to S/O, so the shipment took already place.
-------------------------------
calculate the facts and you`ll see how undervalued LARGO VISTA is:
At present LARGO VISTA has 270mio. shares outstanding (the 100mio. shares for Shanghai Oil are NOT outstanding)
With the S/O contract LARGO VISTA earns $4.8mio/year
(don`t forget that this is calculated with the guaranteed MINIMUM of $2/metric tonnes - so could be even more!!)
That means LARGO VISTA earns $0,0177/share
With the current price of $0,13 this means that the Price Earning Ratio is at 7.3 only with this one contract!!!!
Remember THIS posting?
Posted by: bobby23
In reply to: galaxykirk who wrote msg# 388
Date:4/14/2005 11:58:41 AM
Post #of 390
LGOV will get a fantastic PR tomorrow, I spoke with their director of investment relations, and he told me specifically, that they will show a net gain for this quarter and have signed 2 new contracts worth 750M combined. This is going to be huge! Prices are down, and this is a great time to still get in!
-Bobby
And maybe you already read THIS, too?
05-09-2005, 05:44 PM
CATFISH_PAUL CATFISH_PAUL is online now
Moderator
Join Date: Dec 2004
Location: michigan
Posts: 1,381 | Points: 6257.85 (Donate) CATFISH_PAUL is on a distinguished road
just got off the phone with investers relations and they are looking for the pps to reach $3.00-$4.00 per share that it is way undervalued and as of now everything is on schedual. they are looking to get on nasdeq real soon. he also was talking about their core buisness which is running and pipleines. they have 6 projects going and 4 or 5 are complete which bring in great revenue and they can be seen on the websight. outlook is phenominal for the company. looking real good in my opinion. cant wait to see what the coming months will bring. i had read the 3-4 doller thing in other forums and didnt beleive it and is part of the reason i called. the shares paid to the company are all restricted and can not be sold in the open market. he also said their will be no dilution of stock going on. oh and that the contract was actually 1.8 billion dollers and they were conservative on the pr because of reprocusions from the sec. he said imidiatly after they posted the pr about the contract the sec said they better prove this or they will suspend trading and that is why the sec filing on the contract came out so quick. i am trying to remember all that was said the return call caught me off guard i was out riding my bike. oh one more thing all the top officials of the company are in china at this time. he didnt say why but lets hope it is sighning new contracts or it could be just them finalizing the one they have
__________________
lets all help each other make some cash!
So with all that DD, what do you really think?
Will it go up or down?
walli,
ich finde deine faktensammlung sehr hilfreich und informativ. leider scheint das "kein schwein" zu interessieren. aber um mit dem kaiser zu sprechen "schaun mer mal"
casta
ich finde deine faktensammlung sehr hilfreich und informativ. leider scheint das "kein schwein" zu interessieren. aber um mit dem kaiser zu sprechen "schaun mer mal"
casta
castafiore, wenn`s Dir hilft und einige
stillen Mitlesern, dann reicht`s doch.
Muss ja nicht jeder seinen Senf dazugeben.
Genügend Leser hat der Thread ja...
Gruß,
stillen Mitlesern, dann reicht`s doch.
Muss ja nicht jeder seinen Senf dazugeben.
Genügend Leser hat der Thread ja...
Gruß,
hier nochmal ein Chart:
.
Thread up!
$0.135 +4%
USA Ask schon bei $0.15
Wird doch!
Wird doch!
Bid/Ask steigt in den USA!!
Super!
Auch Stochastik liefert jetzt Kaufsignal!
GO LGOV GO!!
Auch Stochastik liefert jetzt Kaufsignal!
GO LGOV GO!!
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