To be honest, I'm not entirely clear. I've heard everything from it triggering a major short squeeze (would cause major upshoot in pps) to it just being elimination of a minimally used stock borrow (short) program (would have minimal to zero effect on pps). Honestly, I haven't looked into the more specific details of how much impact it will have, and others here are likely more educated regarding it. I just posted the links because I know they are relevant to the discussion, and my question is how much they are playing into the whole etrade calling shareholders to sell and now new L2 pictures of the massive bids that Bill just posted. Just not sure, interested to see how it plays out tomorrow. Could very well have no effect at all though...
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