Don’t you think is it most likely that it’s the Blackrocks and Vanguards of the world that are shorting to simply hedge their bets, and when another release is done, they simple release the shares, owning virtually the same amount in long positions. This is the only thing that makes sense to me. It would be why they can front such massive costs to borrow honestly as well. Not saying retail isn’t involved some, but I bet it’s very minimal…
Who knows, what o do know is that either way, our day is coming and it is going to be GREAT!!!
Best to the longs,
F2
Bullish