I'm a bit confused as to the gameplay here by the big movers of this stock.
Did they have a large short position in some off-market CFD somewhere that negates the loss they would have made on dumping the stock and break the large 75 cents support?
Or is someone big divesting 2 weeks before the supposedly first pour?
Are they trying to trigger a chain of stop loss orders by pushing the market down?
Strange market movements with no correlation to the fundamentals with gold near US$1800 / oz
TIE Price at posting:
75.0¢ Sentiment: None Disclosure: Held