The data is reported by Broker Dealers. Interesting. How do these "Broker Dealers" know which of the shares traded are borrowed? Should i think of a coulormark on these?
"Think offshore" is not a useful reply for me. I see. Is "Hedgefunds do not disclose their positions" helpful?
i>please give a concrete, useful example and a link supporting your theory. You ask me to make visible what i claim is invisible. Resolving contradictions in terms is beyond my little talents.
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