HHSE - given the obvious selling on the (presumably good) news, I'm very curious what is speculated as most likely transpiring today?
1. Protecting/containing a huge short position by preventing any momentum. Why the huge short position?
2. Trying cover/accumluate by inducing frustration and panic selling of retail investors.
3. Selling by Fotis to create maximum harm. But then, why is volume reported as short-selling?
4. Traders looking to get out of short-term position given news today did not have anticipated effect. Does not seem likely as share price seems always be manipulated.
5. Genuine belief that company is worthless. But wouldn't news today reinforce the value?
6. Strategic loss by a competitor with deep pockets. Financing much more difficult at lower share prices.
7. Profitable swing trading of MM. Sell, scare longs, cover, repeat.