you are viewing a single comment's thread.
The price movement seems overly extreme if all the talk of M&A and Spectrum sales is true. The share get hit hard everytime it trades above 7.00.
So it's fair to say, the next big price move maybe to $8.03
Sentiment: Strong Buy
But, this selloff must having something very -tive behind it. Volume is very high vs daily avg and the shares vs the index is almost reverse. Does anyone know why it is getting hammered? With 60%+ of free float shorted, this cannot be new shorts?