Very interesting today. Over 1 million shares were traded so far all at 0.25 except one.
First situation, the open price of 0.25 is at buyer side, and someones dumped 1 million shares to the buyers.
Second situation, the open price of 0.25 is at seller side, and 1 million shares were bought actively.
Which one do you think is more reasonable?
Column 1 Column 2 Column 3 Column 4 Column 5 1 12:20:39 PM 0.250 10,000 2,500.000 2 11:37:56 AM 0.250 4,000 1,000.000 3 11:05:26 AM 0.250 25,636 6,409.000 4 10:57:41 AM 0.255 10,000 2,550.000 5 10:39:52 AM 0.250 50,000 12,500.000 6 10:39:52 AM 0.250 50,000 12,500.000 7 10:39:52 AM 0.250 50,000 12,500.000 8 10:39:52 AM 0.250 50,000 12,500.000 9 10:39:02 AM 0.250 74,364 18,591.000 10 10:36:31 AM 0.250 25,636 6,409.000 11 10:36:22 AM 0.250 50,000 12,500.000 12 10:36:22 AM 0.250 50,000 12,500.000 13 10:36:13 AM 0.250 74,364 18,591.000 14 10:25:07 AM 0.250 25,636 6,409.000 15 10:19:09 AM 0.250 4,364 1,091.000 16 10:18:29 AM 0.250 12,000 3,000.000 17 10:16:44 AM 0.250 45,043 11,260.750 18 10:16:44 AM 0.250 50,000 12,500.000 19 10:16:44 AM 0.250 50,000 12,500.000 20 10:15:24 AM 0.250 75,000 18,750.000
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