To be quite honest, after the news on Monday that we would be delisted on March 11, I was expecting a large dip the same day but instead the volume increased as did the pps.
Between now and March 11 we might get some nervous people and will dump their shares, but personally I have the same amount as I had before we went GREY so I am in for the run
Just wondering where the heavy buying volume is coming from: > Unreleased news but leakage to buyer(s) > Shorts still covering > FOMO since "Probable" revocation > ?