someone is buying a big portion
it seems that risk haters and short are unloading
and someone is buying all of it
Before the reports
Even good report does not trigger upside
it will be in the 6$ range till it miss one Q and than will drop.
can you explain why merger is more beneficial now ?
sellers are stronger
Do you have any idea ?
I think that JP morgan and others will run this stock forward in order to sell later some shares
The price will not stay at this numbers.
it will be much higher.
we have a small "sell on news" today and after several days it will be shooting higher