Great post. You offer some unique insight into
Post# of 15187
into relisting strategies.
The only thing I disagree with you is the opening pps.(for 2 reasons)
One, the MM-MMS will want to get in the action to ride it up, so they too can bank huge amounts of money. Two, I can see the MMS wanting to flush long term
holders out day one, to obtain large amounts of shares/inventory I could see an open @05, for 20 minutes, and then they pull the rug to have us think it's going
to fizzle/we missed huge profits. They will take it to .015, all while casting a huge
net. They will close it around .03-.04. Then grind it a day or so, to get more
L.T's to sell and deplete their inventories. Then going into thurs,mid day, release the hounds.........by Friday she's north of .10 and flying high for Monday.
Now , even given your spo, I'd think that it would be around .05 for shareholders to sell prior to opening and I would expect the same scenario as above.
But, if the buyin interest is there from the onset/as p.vito scenario/ it could happen from the word go.... .20 in a day or two.
In a nutshell, it just depends on how much inventory the mm gets from the spo prior to trading. If they get the shares in bulk at a reasonable price, could be a rocket ride from the opening bell.
Ts
Jmho.....but you make some valid and prudent observations..
TS