I just find it amazing that the two main companies in one business can have such different charts. Ingenico at least offers a dividend, but still, the differences in volatility are remarkable. Management issue? I mean, WTF?
Avg Vol (3 month)3: 2,558,340 Avg Vol (10 day)3: 2,590,790 Shares Outstanding5: 106.70M Float: 104.98M % Held by Insiders1: 1.64% % Held by Institutions1: 96.20% Shares Short (as of Apr 30, 2012)3: 13.05M Short Ratio (as of Apr 30, 2012)3: 5.20 Short % of Float (as of Apr 30, 2012)3: 12.40% Shares Short (prior month)3:
What do you thinks happens ? Institutions will not be dumping ,shorts will be forced .it goes higher IMHO