It is this foggy aspect of a whispered takeover from one (two would mean "Bidding War!") that I believe explains the long v short battle. (Thanks nat.) One may assume the immediate point is to make money as risk free as possible.
I think it's the medium term that's at play in the short term. Shorting via several brokerages and even more accounts hides significant 5% positions needing to be disclosed. This, if true, then, can springboard into a t/o at the most; key BoD position(s) at worst. With the sp acting accordingly.
Also, and curious to, the shorts (they're down as of 21.1.16, 0.10%,) must pay any divvy to the owner of the borrowed shares. A surprise "Special Dividend" would cause a large short squeeze. This, though, would ruin the short plan and those behind it...
http://shortman.com.au/stock?q=pry
Yesterday I noted a downside risk of 15%, to put a finer point on it: 15% to 20%. That extra bit mostly is assigned by the effects of down outside markets. Clicking "Y" ==================>
shows the damage of many factors, notably shorts, and the worst they can do. Now click "M" =======>
With an initial position bought I'm looking for a bit of panic to BUY.
OV
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$1.73 |
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Open | High | Low | Value | Volume |
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---|---|---|
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6 | 100170 | 1.715 |
3 | 22260 | 1.710 |
3 | 20476 | 1.705 |
2 | 4754 | 1.700 |
Price($) | Vol. | No. |
---|---|---|
1.740 | 18353 | 4 |
1.745 | 98987 | 4 |
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1.760 | 5000 | 1 |
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