to manipulate their day-to-day performance. They buy a hundred thousand shares to make it pop 10% if they need to increase their net asset values that day. Or, if all of their other positions are raging, they dump a hundred thousand to depress price and make their NAV look lower. They do this to "stabilize" their results. I am coming after my fund manager with a discovery request. If I am correct, I am taking them down for this chicanery. Ya hear me WP?