1) Who are the BIG shorts? How deep is their pockets? Whom and How did they borrow their shares?
2) What will the broader market do in Sep.? Once all the Hedgies (Who are really under perfomring) and money managers return from vacation. Will they chase for performance and in the process run-up stocks like SKUL?
3) How will the longs hold up if the price jumps to $20+?