On major down days like yesterday and today, for the chart to read the way it does informs us that a large institutional investor - certainly not retail - has analyzed the company and its shareholder base, which is largely retail and weak, and cleverly used this opportunity to establish a significant position. Why? Because Q3 results will show all of those built up Q2 ARs transformed into cash which will drive the stock much higher. Smart move. Whoever sold into this pattern will regret it by mid-Nov.