Volume Leaders in Review at OTCBB (CMGR, GERS, PTSH, ESYR)
Camelot Entertainment Group, Inc. CMGR.OB
Camelot Entertainment Group, Inc. CMGR.OB reduced 50% to the closing price of $0.0001. The overall volume in the last trading session was 744.43 million shares.
CMGR operating cash flow was $ -903,120 and levered free cash flow remained $ -2.13 million. Earlier this month Camelot Entertainment Group, Inc. CMGR.OB reported surge in its revenues of about 130% totaling $53,712 which previously was $23,338 during the second quarter of 2010. On quarter ended Jun 30, 2010 CMGR had -269.25% return on assets and the operating margin remained -12,222.23%. In capital budgeting, total cash was $21,010 and its total debt remained $ 4.40 million.
Camelot Entertainment Group, Inc. (Camelot) is a development-stage film, television, digital media and entertainment company. It operates through three divisions: Camelot Film Group (CFG), consisting principally of feature film, television and home video.
GreenShift Corporation GERS.OB
GreenShift Corporation GERS.OB remained unchanged to the closing price of $0.0001. The overall volume in the last trading session was 233.46 million shares.
On quarter ended Sep 30, 2010 GERS had -32.50% as its return on assets while the operating margin remained -158.76%. GERS reported net loss of $ 15.93 million. In capital budgeting, total cash was $ 36,990 and its total debt remained $ 53.45 million. GERS operating cash flow was $ -4.98 million and levered free cash flow remained $ -480,180.
PTS Inc. PTSH.OB
PTS Inc. PTSH.OB reduced 33.33% to the closing price of $0.0002. The overall volume in the last trading session was 144.24 million shares.
On quarter ended Sep 30, 2010 PTSH had -40.98% returns on assets. PTSH reported a net loss of $ 621,970. Company’s most recent quarter total cash was $ 19,560 while total debt remained $ 135,260. PTSH operating cash flow was $ -78,950.
EcoSystem Corp. ESYR.OB
EcoSystem Corp. ESYR.OB remained unchanged to the closing price of $0.0001. The overall volume in the last trading session was 109.77 million shares.
On quarter ended Sep 30, 2010 ESYR had -83.25% as its return on assets. ESYR reported a net loss of $ 1.65 million. In capital budgeting, total cash was $ 526.00 and its total debt remained $ 1.73 million. ESYR operating cash flow was $ -64,830 and levered free cash flow remained $ -18,160.





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