So basically - anyone adopting this strategy is still taking a risk that the market will get away from them.
If someone was doing this - surely you would also see regular bounces and volatility in both price and volume.
Personally - I am just not seeing this in the trading history (not at any volume that matters) and anyone who was adopting this policy last week pre-announcement will have lost a lot of money!
I just think the market is savvy enough to know that there is still risk here and everyone has a different appetite for risk on any given day. That plus a generally poor market just makes me think IMHO that "manipulation" is just not happening to any great degree.
Cheers for the info/thoughts.
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