Well, imo, the companies timing of the domestic contract announcement into retail, with some real meat behind it, like projected sales numbers, then so as oversold and shorted as we are right now, this type of news timed with the split could 'break that coiled spring' so given our new lower OS (by 1.8 BILLION) we could witness a huge rally on that news compounded with short covering squeeze upward. Very attention grabbing it will be if the volume of trading spikes.
This, again imo, is a real possibility. Mgmt here may just have shorts were they want them! Its going to get very interesting. Big tading volume = incrasing awareness. The fear of loosing out may become the fear of missing out!
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