How different was the trading on Friday and today compared to when shorters load the sell side to push the SP down.
It’s easy to force the SP down when you keep loading lower and lower SP to sell to other shorters but retail also get a bite at it. Which means that shorters need to increase shorts.
Aaaahhhhh, they’ll claim that’s it’s not true and that retail are selling cause the company’s failing. Well that’s ok, you keep selling and I’ll keep taking bites but when the time comes to close, I won’t be selling. Well maybe for $50 a share but good luck anyway.
Just my opinion
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