Maybe what I said earlier regarding the possibility of net short approaching 15% (which is the total holding of the index funds) might eventuate...
Anyway, if the shorters end up squaring off their short positions by buying the index funds, there is a silver lining in that it will at least ensure there won't be any potentially sharp price volatility as a result of the expected large block trades from their sales.
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Maybe what I said earlier regarding the possibility of net short...
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