I would question both of these ideas as the exclusive reason for TIV's PPS slide.
The barrel price and OPEC productions have harmed the PPS of many oil stocks - (also we need to factor in the market's big correction in general)
To blame TIV's tumble on hype, management, or shorters (which all may contribute to some extent) may not be looking at the whole picture and taking in all the factors, IMO.
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