Until now, I could not understand what is triggering the SP up or down. When GMV announced IPO of HK, the SP moved up by almost 1 bag or more. While when it got the CFDA for the factory the SP reacted negatively and moved down after few days by 50%. I can't do neither technical nor fundamental analyses. I am totally confused. It's SP is unpredictable.
Are we going to close the gap again at 18.5?