Hi all.
Some more info on the shorts.
I did make a small mistake when I posted this thread
heading the first time.
The following are the dates, shares traded and the amount
of shorted shares each day.
Date. Shares traded. Shorted shares.
19/3. 2,964,493. 20,129.
20/3. 1,302,024. 66,511.
This gap is the weekend and the T/H Period.
25/3. 6,228448. 2,101,000.
26/3. 2,926,025. 801,000.
27/3. 1,281,154. 165,444.
28/3. 1,251,024. 140,608.
On the 19th the shares reached a high of $1.61. & closed
at $1.52. The 20th they closed at $1.47.5, now dont
forget the reason the s/p retreated was the c/r was
coming those big boys pushed the s/p down.
This is the gap again, weekend and c/r.
On the 25th the shares opened at $1.43.5, a high of
$1.45, a low of $1.35, and closed at $1.40.
On the 26th, they opened at $1.40.5, high $1.47.5, low
of $1.40.5, closed at $1.42.5.
On the 27th, opened at $1.45, high $1.45, low $1.41.5,
closed at $1.42.5.
On the 28th, opened at $1.43.5, high $1.44, low $1.37.5
closed $1.38.
Today the shares were shorted for a start, but the
buyers scared the shorter off, the shares as we all
should know closed at $1.43.5, with a tad over 800,000
shares traded.
There can only be two reasons for the drop off of the
shorts shorting less each day, and that is the buying is
too strong, or the shorter is going to wait till the
buying eases then have another go, because when you
analyse it they or whom the shorter is having little
effect on the s/p, and as the heading states, and I do
hope they get burnt.
Just had some time to fill in.
Cheers.
Simmo.
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