Its just the pro's and soph's from last 74 mill shares issues at 1.3 wanting to offload before TD. They don't buy in with that level of exposure to see results. They want there cash and margin relatively risk free, well less risk than waiting for results.
Until they're out at 1.5/1.6 we won't get movement.
They had the buy side stacked to support the price while offloading at 1.6/1.7. You would recall depths of 60mill buy and 30mill sell to give the impression of strength. now they just want out after seeing very little rise pre spud compared to Dec's run.
This selling could go on for days.
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Its just the pro's and soph's from last 74 mill shares issues at...
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