What a joke this stock has become. Will be 220 before earnings, anyones guess afterwards.
What are you dropping these day, you need to share it with the rest off the shorts. Their fore you all can hallucinate that its going Down when its actually going Up to $300. plus.
What is your resoning for this? I thought it would close at 239.5 based on Weekly Options Manipulation, but the Shor Squeeze going on trumps all logic and manipulation.