So, please place your bets, is this shorters trying to break our back and stop loss punters or is the market (insiders) expecting bad news tomorrow? And what could that news be?
This just doesn't make sense to me. All the evidence suggests an increase in gross margins by ~$1k and volume should be a new record for the month of Feb. All concerns aside on nameplate, the free cash is significant.
What am i missing?
Add to My Watchlist
What is My Watchlist?