In Canadian dollars, the current short position is $1,334,974,956.
In my mind, it would be foolish to not give the immensity of that
number some respect. I can't bring myself to completely rely
on manipulation as the sole reason. I have owned the stock uninterrupted since 2017.
As this quarter draws to a close we know that earnings
will be lower because of the sharp decline in price. Will that problem
be compounded by a meaningful decline in shipments as well?
A few weeks ago I posted that in looking out over the horizon
there seemed to be some storm clouds forming. While we are
unquestionably going to make a ton of earnings this coming quarter,
the brokers will attempt to divert attention away from that and toward lower
prices and lower shipments. Another dark cloud?
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Change
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Open | High | Low | Value | Volume |
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Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
33 | 242238 | $2.41 |
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Price($) | Vol. | No. |
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27 | 326978 | 2.390 |
22 | 241930 | 2.380 |
15 | 350277 | 2.370 |
5 | 83934 | 2.360 |
Price($) | Vol. | No. |
---|---|---|
2.410 | 108878 | 56 |
2.420 | 315669 | 50 |
2.430 | 252963 | 37 |
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