Mach... my problem with understanding that is this: if an MM was naked short lets say 500 million at .0001....with the volume and anticipation of an explosion, wouldn't you think that people would start panick buying at .003 or even .004?? that would only take the MM a 1/4 of the time to square his books with this volume it would be easy enuf for an mm to be holding plenty of cheap shares...please correct me if i'm thinking wrong...anyone...thanx
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