Hey guys I was wondering if you could answer a question for me related to another stock.
About 1.5 weeks ago the sp was ~10c and the options ~4.5c.
A couple of days later the stock ran to 16c then crash back down shortly after to 8.8c as a result of mediocre news and is now hovering around 9.5c.
However, now the options have settled around 5.9c.
So previous to the run there was a option : sp ratio of ~45% and after there is now a ratio of around 62%.
Does this mean anything? And if so what?
I should also mention additional news is also due shortly.
P.S.Seems like everyone has fallen asleep with RMI. Hopefully, management hasent as well....
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Open | High | Low | Value | Volume |
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1 | 3000000 | 0.009 |
1 | 120000 | 0.008 |
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Price($) | Vol. | No. |
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0.014 | 3226 | 1 |
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