Economy stonks v20, you get an offering

BARK is gonna burst out of the girdle as soon as the SPAC hate subsides

Believe me, woman have sex with dog

Loading the truck. Barking all the way to the bank from here. Got to be barking mad to not buy here. The business model is solid.
 
lmao fuck should have shorted more ROKU its down 10%
 
@BIKES!

Grab your popcorn for the pregame show. I added a little more at $5. Someone added 30k shares lol... I care moreso about the guidance then the earnings report. Bill better open his mouth and say the right things.

Edit:

"Strategic discussions with our largest carrier customers continue to move in the right direction, which we believe will set the Company up for a strong back half in 2021 and beyond.”

Second Quarter 2021 Financial Results

Smith Micro reported revenue of $15.9 million for the second quarter ended June 30, 2021, compared to $12.9 million reported in the second quarter ended June 30, 2020.

Second quarter 2021 gross profit was $12.6 million compared to $11.7 million reported in the second quarter of 2020.

Gross profit as a percentage of revenue was 79 percent for the second quarter of 2021 compared to 90 percent for the second quarter of 2020.

Generally accepted accounting principles in the United States (“GAAP”) net loss for the second quarter of 2021 was $5.2 million, or $0.10 loss per share, compared to GAAP net income of $1.4 million, or $0.03 diluted earnings per share, for the second quarter of 2020.

Non-GAAP net loss (which excludes stock-based compensation, amortization of intangibles, and acquisitions costs) for the second quarter of 2021 was $307 thousand, or $0.01 loss per share, compared to non-GAAP net income of $3.0 million, or $0.07 diluted earnings per share, for the second quarter of 2020.
 
Basically the same old story... which is no story. Some think Aug 9th or 12th could have a soft launch but at this point who knows. Tired of the delays.....

Edit: Let's see what Bill says at the call. Best case the stock holds at $5 or even up to $5.25ish or we see it test mid $4s...
 
ughh why did i not notice ETSY what up big into earnings? Always a good sign to short
Anyone have anything moving around?
 
i can't wait until the amd-xlnx deal closes and i can actually be a real trader again.

this fucking white whale...

ughh why did i not notice ETSY what up big into earnings? Always a good sign to short
Anyone have anything moving around?

not really. indi up 9%, ktos down 12.

not really paying attention to earnings.
 
@BIKES!

are you listening to the call? They said they won back AT&T. That is big news. They have all the major carriers. This may have a mini pop and then re-pop when TMUS is official!
 
Making bank shorting on earnings.. FSLY sinking faster than the titanic. Uber a dead cat. Earnings prints red.

SKLZ looking juicy for a swing.
 
Puts on oil. Anybody holding oil are getting royally fucked rn ouch
 
lol "cathie Wood has better vision than anyone" according to Cramer....

Completely ignoring she is down like 50% today on SKLZ
 
sighhh no HOOD available. Easy after hrs collapse
 
Up 50% on the day

Very big collapse

Cope
what?
Weird post.
I'm just noting that it's getting rinsed in obviously reflexive fashion and how I can't make money off it because the status of shares and some obvious price catalysts.
But yes tell me more about how fundamental analysis created a $69 price fulcrum lol
 
what?
Weird post.
I'm just noting that it's getting rinsed in obviously reflexive fashion and how I can't make money off it because the status of shares and some obvious price catalysts.
But yes tell me more about how fundamental analysis created a $69 price fulcrum lol
Seethe
 
lol fuck me I had been messing with SCR in the 20 range; thought I was smart cause it fell to 18 and wanted it around 15...

bought out by Penn for like 33/share lol
 
lulz mrna and hood

sofi up somehow shouda kept that a lil longer.
I tried to play Viacom and it's flatter than a mormon track team
 
Is there a good reason VNE is above 38 when QCOM just announced a $37 offer to buy out after its already way high off a diff buyout offer?
I get some bidding war could happen, but 4% premium to actual offer price this soon seems lofty.
 

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