Tuesday, December 02, 2003 10:04:28 AM
20 day average volume is over 1.4 million according to my calculations. Maybe some bad news would help, when they filed that the 10QSB would be late volume went up to over 8.6 million.
Why was there so much buying when shareholders were likely selling due to Fear Uncertainty and Doubt?
Any thoughts beyond the druken MM theory put forth earlier?
If you want to taste the fruit, you have to go out on a limb. But if you wait for the herd to move out on the limb....the branch tends to snap.
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