Very interesting.
Thanks for sharing.
I guess what I find particularly interesting is that in the past 5 weeks or so, the shorts have increased by over 35M units (almost doubled), without there really being any/much drop in sp.
This seems to indicate some strength, ie. others (?) are happy to buy them all… but we won’t really know since the details are hard to find / unavailable.
Are they just getting greedy?
Are they trying to milk the last few weak hands?
Are they trying to “force” the TA?
Are they comfortable with their earlier gains and just playing with their “profits”?
Are they “employed” by whoever also might benefit from a low sp / capitulating longs?
…lots to ponder.
I know that some will claim (as they already have) that these types of things are simply “conspiracy theories” but imo those individuals are incredibly naive to the games that these “deep pockets” will and do indeed play.
Imo the risk profile is incredibly asymmetric at these levels (ie minor downside vs massive upside), so best not to get tangled up in their games….
Imo LT investors should focus on the long game and consider what lays ahead (and likely when), and evaluate the opportunity as it stands in that context.
Interesting times.
ps: haters, I’ll happily take 3M if it capitulates to 10c without any dealbreakers in sight, so please carry on. Go your hardest!
imo
Dyor
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Last
3.7¢ |
Change
-0.001(2.63%) |
Mkt cap ! $53.86M |
Open | High | Low | Value | Volume |
3.8¢ | 3.9¢ | 3.7¢ | $114.4K | 3.011M |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
19 | 2414158 | 3.7¢ |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
3.8¢ | 13152 | 1 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
19 | 2414158 | 0.037 |
28 | 3007392 | 0.036 |
31 | 2831726 | 0.035 |
9 | 1320292 | 0.034 |
8 | 1345000 | 0.033 |
Price($) | Vol. | No. |
---|---|---|
0.038 | 13152 | 1 |
0.039 | 804481 | 2 |
0.040 | 748729 | 3 |
0.041 | 1060602 | 8 |
0.042 | 1983780 | 8 |
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