About your question in the end: What do you think will happen?
I personally dont give much attention to the shorts and i dont see them as reason for the SP. As long as there are no 50page reports telling us why theyre short, its probably mostly trading and going short because you can make a profit. Not comparable to a destruction like Zatarra vs Wirecard. I can be wrong.
Underlining the profit aspect: When i got the information about the schedules DAP timeline two months ahead, while many shareholders got nervous as the 'january + 3/4 months' timeline ended, i was sure the sp will lose enough that you could make a profit out of that. I eventually shared my information and preferred more people to be informed and calm, but thats another story.
Again, im interested in your opinion and pov too
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