i'm operating on the basic premise that when someone invests this much money into a stock they want the company to flourish and they want to make a lot of money.
sure, a few might short against a partial position in the near term, just to hedge this way and that, but i would guess anyone who didn't cover before 9/4 might be in for some serious pain.
it's not like fundamentals are static here, stuck like some ancient bug in amber. let's see what happens when they announce major contracts, new products, acquisitions, etc.