I understand.
But nothing of what you describe there, makes +6 years of collaborative spoofing, 37% of all trading days, and its consequences to the share price, go away.
And thats why I sense dishonesty, when a "retailer" forget to mention the spoofing and solely blame management for the SP decline.
No real longs would have an incentive not to want the real issues for an SP decline to be exposed.
We've had countless examples of "non invested retailers" the last month, who've been trying to sell that narrative.
They are all fudders in my book.
The lawsuit, the evidence and its consequences, are plain for all to see.
Bullish