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DISCLAIMER

Guardian Financial Publishing LLC Texas and their affiliates and control persons
(the “Publisher”) are in the business of publishing favorable information and/or
advertisements (the “Information”) about the securities of publicly traded
companies (each an “Issuer” or collectively the “Issuers”) in exchange for
compensation (the “Campaigns”). Persons receiving the Information are referred
to as the “Recipients.” The person or entity paying the Publisher for the
Campaign is referred to herein as the “Paying Party”. The Paying Party may be an
Issuer, an affiliated or non-affiliate shareholder of an Issuer or another
person hired by the Issuer or an affiliate or non-affiliate shareholder of the
Issuer. The nature and amount of compensation paid to the Publisher for the
Campaign and creating and/or publishing the Information about each Issuer is set
forth below under the heading captioned, “Compensation”.

If you clicked on a link to this page, then this Disclaimer is applicable to the
Information you received or will receive about the Issuers mentioned under the
heading “COMPENSATION” at the bottom of this Disclaimer.

METHODS OF DISSEMINATION

The Publisher may use various types of media (the “Media”) to disseminate the
Information, at its discretion without notice to Recipients. The Information may
be published on and/or through any or all the non-exclusive methods below:

 * Ticker Tags (as defined under heading “DISCLAIMERS AND RISKS”
 * websites owned, controlled and/or operated by the Publisher including but not
   limited to; wallstwarrior.com, dollarstockclub.com
 * websites owned and/or operated by the Publisher’s affiliates and
   non-affiliates,
 * online communities, financial forums, trader and investor chat rooms, social
   media platforms and/or newsletters using online identities some or all of
   which may or may not be anonymous,
 * text message alerts,
 * audio services,
 * online live interviews,
 * news outlets located, coordinated or paid by the Publisher,
 * email communications, and
 * other communications sent to the Recipients from time to time.
 * push notifications
 * influencers
 * podcasts
 * online interviews
 * audio ads
 * banner ads
 * native ads
 * responsive ads

DISCLAIMERS AND RISKS

An investment in the Issuers is subject to numerous risks including but not
limited to those set forth in this Disclaimer. Some but not all of these risks
include:

 * Ticker Tagging attaches an Issuer’s name and symbol to that of a larger more
   successful company to create interest. Ticker Tags are click bait to get a
   reader’s attention so that they click on a link. Information contained in
   Ticker Tags is not true or complete and its sole purpose is to cause a
   Recipient to click a link to a webpage so that the Recipient is provided with
   the Information.
 * The Campaigns vary between Issuers. Campaigns may consist of dissemination
   though one or more types of Media while other Campaigns may use one or more
   different types of Media. Different types of Media may be disseminated at
   different times to different Recipients. Some types of the Media may be
   disseminated for longer periods of time than other types of Media. The Media
   may be coordinated in a manner designed to create an increase in the volume
   and trading price of an Issuer’s securities for a temporary period of time.
   You should not consider increases in volume and price of an Issuer’s
   securities during a Campaign as an indication or measure of value or price.
 * The Publisher may disseminate the Information multiple times and at different
   times that are minutes, hours, days, weeks or even months apart. As such, the
   Information may be viewed by Recipients at different times that are minutes,
   hours, days or even weeks apart. Typically, the earlier the Recipient
   receives the Information, the lower the price at which he or she can purchase
   an Issuer’s securities. As a result, the later a Recipient receives the
   Information, the more likely it is that the Recipient will suffer increased
   trading losses if he purchases the securities of an Issuer. Recipients who
   receive the Information at later times will likely pay prices which are
   higher than the prices paid by Recipients who receive the information earlier
   in the Campaign. Temporary volume and price increases will likely result from
   Recipients buying an Issuer’s securities during the Campaign. If you invest
   in an Issuer’s securities based upon these temporary volume and price
   increases, you will likely lose your investment.
 * The Publisher does not publish negative information because it is compensated
   to publish only favorable information. The Information is a one-sided
   incomplete favorable snapshot and as such, the Information is not balanced,
   complete, accurate, truthful or reliable. If you rely on the Information in
   making an investment decision, you will likely lose your investment.
 * The Information does not include the information necessary to make an
   informed investment decision. If you rely on the Information in making an
   investment decision, you will likely lose your investment. If you invest in
   the Issuers, you should be prepared to lose your entire investment without a
   change to your standard of living.
 * The Publisher receives the Information from the Issuer, Paying Party or other
   sources such as press releases, stock message boards or websites, the OTC
   Markets, Google, NASDAQ, NYSE, Yahoo, Bing, the Securities and Exchange
   Commission’s (“SEC”) Edgar database or other available sources. Information
   derived from these sources should not be deemed to be reliable, true or
   complete. The Publisher does not verify or assert the truthfulness,
   completeness, accuracy or reliability of the Information. The Publisher
   conducts no due diligence or investigation of the Issuers or their securities
   and it does not receive any verification from the Issuers concerning the
   truthfulness or completeness of the Information. The Publisher does not
   review, nor does it have the sophistication or resources necessary to analyze
   the financial condition, operations, business, management, risks or prospects
   involved in an investment in the securities of any of the Issuers. If you
   rely on the Information in making an investment decision, you will likely
   lose your investment.
 * Past results of an Issuer do not guarantee future performance. The
   Information should not be interpreted in any way, shape, form or manner
   whatsoever as an indication of an Issuer’s future stock price or future
   financial performance. If you rely on the Information in making an investment
   decision, you will likely lose your investment.
 * If the Information states that an Issuer’s securities are consistent with a
   future economic trend, then it should not be relied upon and should be
   considered as satire or an error. Even if a Recipient’s own independent
   research indicates that an Issuer’s securities are consistent with future
   economic trends, each Recipient should be aware that economic trends have
   their own limitations, including: (a) that economic trends or predictions may
   be speculative; (b) consumers, producers, investors, borrowers, lenders and
   government may react in unforeseen ways and be affected by behavioral biases
   that The Publisher is unable to predict; (c) human and social factors may
   outweigh future economic trends that the Publisher state may or will occur;
   (d) clear cut economic predictions have their limitations in that they do not
   account for the fundamental uncertainty in economic life, as well as ordinary
   life; (e) economic trends may be disrupted by sudden jumps, disruptions or
   other factors that are not accounted for in economic trends analysis; in
   other words, past or present data predicting future economic trends may
   become irrelevant in light of new circumstances and situations in which
   uncertainty becomes reality rather than predicted economic outcome; or (f) if
   the trend predicted involves a single result, it ignores other scenarios that
   may be crucial to make a decision in the event of unknown contingencies. If
   you rely on the Information in making an investment decision, you will likely
   lose your investment.
 * The Publisher is not nor is it qualified to act as: (i) an investment adviser
   or an entity engaging in activities that would be deemed to be providing
   investment advice that requires registration either at the federal or state
   level, (ii) a broker-dealer or an individual acting in the capacity of a
   registered representative or broker-dealer, (iii) a stock picker, (iv) a
   securities trading or investment expert, (v) a securities researcher or
   analyst, (vi) a financial planner or one who engages in financial planning,
   (vii) a party who provides advice about buy, sell or hold recommendations as
   to specific securities; (viii) a clairvoyant, physic or fortune teller, or
   (ix) a party or an agent offering securities for sale or soliciting their
   purchase. References in the Information that refer to a security as a “stock
   pick” means it is a stock advertised by the Publisher and is not an
   indication the Issuer or its securities have been picked, chosen, selected,
   researched or recommended by the Publisher or that  the Publisher  is
   qualified to pick, chose, select, research or recommend investments or
   securities. If you rely on the Information in making an investment decision,
   you will likely lose your investment.
 * The Information should only be used, at most, and if at all, as a starting
   point for a Recipient to conduct a thorough investigation of the Issuer and
   its securities. If a Recipient relies on the Information in making an
   investment decision, the Recipient will likely lose most, if not all, of his
   or her investment. Under no circumstances should Recipients rely on the
   Information to make an investment decision or for any other purpose. If you
   rely on the Information in making an investment decision, you will likely
   lose your investment.
 * There is a high degree of risk in an investment in the securities of the
   Issuers. Recipients may encounter difficulties determining what, if any,
   portions of the Information are material or non-material, making it all the
   more imperative that each Recipient conducts its own independent
   investigation of the Issuer and its securities with the assistance of its
   legal, tax and financial advisors. Each Recipient is expressly advised to
   consult with its own financial, legal or other advisers prior to an
   investment in the securities of an Issuer. Recipients should review with
   these advisers, the filings and information that may be accessed at sec.gov
   or www.otcmarkets.com including: (i) reviewing SEC periodic reports (Forms
   10-Q and 10-K), reports of material events (Form 8-K), insider reports (Forms
   3, 4, 5 and Schedule 13D), and (ii) reviewing Information and Disclosure
   Statements and financial reports filed with the OTCMarkets.com. Issuers may
   not be current in their reporting obligations with the SEC and the OTC
   Markets and/or their securities could have negative legends and designations
   at otcmarkets.com. Additionally, Recipients and their advisors should obtain
   and review: (i) publicly available information contained in commonly known
   search engines such as google, and (ii) investment guides at www.sec.gov and
   www.finra.org.
 * If an Issuer is an SEC reporting company, it could be delinquent (not
   current) in its periodic reporting obligations (i.e., in its quarterly and
   annual reports) with the SEC, or if it is an OTC Markets Pink Sheet quoted
   company, it may be delinquent in its Pink Sheet reporting obligations, which
   may result in OTC Markets posting a negative legend pertaining to the Issuer
   at www.otcmarkets.com, as follows: (i) “Limited Information” for companies
   with financial reporting problems, economic distress, or that are unwilling
   to file required reports with the Pink Sheets; (ii) “No Information,” which
   characterizes companies that are unable or unwilling to provide any
   disclosure to the public markets, to the SEC or the Pink Sheets; and (iii)
   “Caveat Emptor,” signifying buyers should be aware that there is a public
   interest concern associated with a company’s illegal spam campaign,
   questionable stock promotion, known investigation of a company’s fraudulent
   activity or its insiders, regulatory suspensions or disruptive corporate
   actions.
 * Recipient’s use of the Information is at its own risk. The Information is
   provided “as is” with no warranties of any type, without limitation. The
   Publisher is not responsible or liable for any person’s use of the
   Information or any success or failure that is directly or indirectly related
   to such person’s use of the Information because the Publisher has
   specifically stated that the information is not reliable and should not be
   relied upon for any purpose including an investment.  The Publisher is not
   responsible for omissions or errors in the Information and the Publisher is
   not responsible for actions taken by any person who relies upon the
   Information. The Publisher makes no warranty or representation about the
   Information, including its completeness, accuracy, truthfulness or
   reliability. The Publisher disclaims, expressly and implicitly, all
   warranties of any kind, including whether the Information is complete,
   accurate, truthful, or reliable.
 * The Publisher, the Paying Party or other service providers including stock
   promoters and advertisers (“Selling Parties”) could receive free-trading
   securities of an Issuer: (i) as compensation, (ii) in private or open market
   transactions at prices lower than the market price or price paid by
   Recipients, and/or (iii) in open market transactions before, during and after
   the Campaigns. Selling Parties may sell their securities of an Issuer at any
   time during the Campaigns, even while the Publisher publishes the Information
   instructing or encouraging Recipients to purchase securities of the Issuer.
   When Selling Parties sell their securities, the volume and trading price of
   the Issuer’s securities will likely decline. This will reduce the price at
   which Recipients can sell their securities and likely cause Recipients to
   suffer trading losses. Selling Parties may sell securities of the Issuers for
   less than the target prices set forth in the Information and Selling Parties
   may profit by selling its securities during the Campaigns while Recipients
   have a loss.
 * When Selling Parties acquire, purchase or sell the securities of an Issuer,
   it could (i) cause significant volatility in the Issuer’s securities; (ii) if
   purchasing, cause temporary but unrealistic increases in volume and price of
   the Issuer’s securities; and (iii) if selling, cause the Issuer’s stock price
   and trading volume to decline dramatically resulting in Selling Parties
   making substantial profits while Recipients who purchase during the Campaign
   experience significant losses.
 * The Campaigns are designed to increase the trading price of the Issuers’
   securities by encouraging the Recipients of the Information to purchase an
   Issuer’s securities despite that the securities may not be a good investment,
   and the trading price of the Issuer’s securities will dramatically decline
   when the Campaign ends. If you rely on the Information in the Campaigns when
   making an investment decision, you will likely lose your investment.
 * If the Issuer’s trading price increases during the Campaign, it is likely the
   result of buying activity caused by the Campaign and such increase does not
   reflect the Issuer’s prospects, financial condition or an increase in the
   value of the Issuer’s securities. If you rely on this buying activity when
   making an investment decision, you will likely lose your investment.
 * If Selling Parties hold or are compensated in improperly free-trading
   securities of the Issuers, either directly or indirectly, the Selling Parties
   and the Issuer could be the subject to an SEC Enforcement action, including
   allegations of an illegal distribution in violation of Section 5(a) and 5(c)
   of the Securities Act which could cause you to lose your investment.
 * The Publisher may hire service providers to disseminate the Information about
   the Issuers and the Publisher may not have control over such parties. The
   Publisher does do not verify the Information it receives from any party or
   information disseminated by other service providers. As such, you should not
   rely on the Information when making an investment decision.
 * The Information may contain statements asserting that an Issuer’s stock price
   has increased over a certain period of time which may reflect an arbitrary
   period of time, and such statements are not predictive or of any analytical
   quality. As such, Recipients should not rely on the Information as an
   analysis of the present or future potential of an Issuer or its securities.
   If you rely on the Information, you will likely lose your investment.
 * If any percentage gain of an Issuer’s securities from the previous day’s
   close is included in the Information, it is not and should not be construed
   as an indication that the future stock price or future operational results
   will reflect gains or otherwise prove to be advantageous to an investment in
   an Issuer. If you rely on the previous days close as an indication of
   performance, it could cause you to lose your investment.
 * Past results of an Issuer do not guarantee future performance. The
   Information should not be interpreted in any way, shape, form or manner
   whatsoever as an indication of an Issuer’s future stock price or future
   financial performance.
 * Recipients should consider the securities of the Issuers as high risk,
   unstable, unpredictable and illiquid which may make it difficult for
   Recipients to sell any securities of the Issuers that they purchase. During
   the Campaign the trading volume and price of the securities of each Issuer
   will likely increase significantly. When the Campaign ends, the volume and
   price of the Issuer will likely decrease dramatically.  As a result,
   Recipients who purchase during the Campaign or as a result of the Campaign
   will probably lose most, if not all, of their investment.
 * MM’s publication of the Information involves actual and material conflicts of
   interest including but not limited to the following:
 * The Publisher receives monetary and/or securities compensation in exchange
   for disseminating the Information about the Issuers.
 * The Publisher only publishes favorable information about the Issuers and does
   not publish any negative information about the Issuers.
 * The Paying Parties likely hold securities of an Issuer which they acquired
   from the Issuer, affiliate or non-affiliate shareholders or from its own open
   market purchases before, during or after the Campaign. The Paying Parties may
   have acquired these securities for services or at prices lower than that paid
   by Recipients. The Paying Parties may sell these securities during the
   Campaign while the Publisher publishes the Information recommending that
   Recipients purchase. Selling by a Paying Party will likely cause Recipients
   who purchase securities of any of the Issuers to suffer losses.

DISCLAIMER

COMPENSATION

Pursuant to an agreement between Guardian Financial Publishing LLC and TD Media
LLC, Guardian Financial Publishing LLC has been hired for a period beginning on
11/07/2022 and ending on 11/09/2022 to publicly disseminate information about
(ATNM:US) via digital communications. We have been paid an additional ten
thousand dollars USD via bank wire transfer. To date we have been paid  ten
thousand dollars USD via bank wire transfer to disseminate information about
(ATNM:US) via digital communications. We own zero shares of (ATNM:US).



Pursuant to an agreement between Guardian Financial Publishing LLC and TD Media
LLC, Guardian Financial Publishing LLC has been hired for a period beginning on
11/14/2022 and ending on 11/15/2022 to publicly disseminate information about
(INLB:US) via digital communications. We have been paid an additional ten
thousand dollars USD via bank wire transfer. To date we have been paid  ten
thousand dollars USD via bank wire transfer to disseminate information about
(INLB:US) via digital communications. We own zero shares of (INLB:US).



Pursuant to an agreement between Guardian Financial Publishing LLC and Open
Market Media Group LLC, Guardian Financial Publishing LLC has been hired for a
period beginning on 11/21/2022 and ending on 11/22/2022 to publicly disseminate
information about (CMND:US) via digital communications. We have been paid an
additional seven thousand dollars USD via bank wire transfer. To date we have
been paid seven thousand dollars USD via bank wire transfer to disseminate
information about (CMND:US) via digital communications. We own zero shares of
(CMND:US).

Pursuant to an agreement between Guardian Financial Publishing LLC and Red Pill
Media LLC, Guardian Financial Publishing LLC has been hired for a period
beginning on 1/4/2023 and ending on 1/4/2023 to publicly disseminate information
about (CMND:US) via digital communications. We have been paid an additional two
thousand dollars USD via bank wire transfer. To date we have been paid nine
thousand dollars USD via bank wire transfer to disseminate information about
(CMND:US) via digital communications. We own zero shares of (CMND:US). 

(Last updated: 1-4-2023 10:56:08)

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