This averages out at over 30% of trades are shorts. You only have to watch the list of daily trades to realise that there are multiple numbers of small trades in both directions triggered by bots.
Because of this it makes me very nervous so have decided to exit today. I don't understand why it is manipulated so much. Why would someone lend shares for shorting only to see the SP decline?
Fundamentally it is a good Company gradually sorting out its production problems but what the SP is experiencing is not what I call normal trading.
I'm going to watch on the sidelines.
ORE Price at posting:
$1.67 Sentiment: None Disclosure: Not Held