Zero financial literacy here (so one of those less informed you're talking about) but using whatever logic I apparently have I see this pattern for the last month or so as decreasing shorts (therefore hopefully "less" ongoing manipulation and f-ery) on low value at a relatively stable share price (so it will take them a while to reduce) - these factors possibly leading to a squeeze should good news hit and shorters needing to cover asap to cut their losses.
That is all my uninformed speculation but very happy to be corrected or drive some conversation?
have a good weekend all
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