followme,
"If they cant hedge a long position - especially when the markets are volatile and falling - then they will be FORCED TO SELL STOCK TO MINIMISE EXPOSURE and thus SP will move harder and harder to the downside"
what a load of rubbish.
Explain to me what happened with Babbcok recently?
shorters caused stop losses to trigger causing normal shareholder to sell maximising the fear and smashing the SP harder and faster to the downside.
Your theory doesn't stack up.
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