Market manipulation is very different from strategic shorting.
One wouldn't short 60 million for 6 month to manipulate price, way to risky. This can be done in a day, week, month. IMO
Sure if their were options or warrents available, this strategy might make scene.
I think the short have come from the belief that GOR wouldn't be able to execute a deal as good as they have and the believe that POG would drop in relation to US dollar interest rates rise.
Seams like the shorts are going away slowly anyhow.
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