So what's your thought process here you see an active stock and you're assuming it's a p+d?
I'm genuinely curious.
What if a short (bs'er or not) misread one of these and shorted one that wasn't dumping. Cause there's a difference between long patient money loading a stock vs mouthy pumpers baselessly pumping.
I can sorta see how a person might walk into that trap since both scenarios I highlighted kinda look similar in their early stages
What happens to the "shorter" if the company starts giving us tangible catalysts??? I don't know how that works since 99.99999999% of alleged sub penny shorts are just being theatrical