When the institutions have over 50% of the shares, and the number just keeps rising, who will be selling? LOL. By End of Q1, institutions may hold 75% and shorts short 25%. End of Q2 100% for institutions and shorts - well, what will they do?
LOL Spinning into oblivion is what I say.
(They really, really, really want sub 9.00 closes for options margin holders)