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Strategies & Market Trends : Free Float Trading/ Portfolio Development/ Index Stategies

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From: dvdw©8/6/2008 2:19:56 PM
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I had to chuckle after listening to L0705's CC twice already, the brief mention of the trades response to the release, demonstrates those involved, as complicit......in the plan. Said plan all along, was to churn investors, on the basis of trade/information obfuscation.

While updating our float information here are some facts which emerged.
1. Its currently on the SHO List.(undetermined # of Counterfiet shares in the market to facilitate the artifact of price.)
2. Net Institutional ownership increased by 2,941,430 shares at June 30 08.
3. Short interest accrued since June 13th to 7-15
Settlement Date Short Interest Avg Daily Share Volume Days To Cover
7/15/2008 16,346,013 1,215,928 13.443241
6/30/2008 14,457,940 1,843,656 7.841994

4. Company added to S&P since June 13th SOI report date
6/13/2008 11,823,857 1,626,848 7.267954

Net growth in open SOI since June 13th 2008= 4,522,156 shares.

Price.= artifact=...what a joke.

The above bunch of numbers, and illustrations about lists, of which the security has recently become a member, are information points about our current system, the data points confirm this pov..

Do you notice any contradictions any where?

I suspect that the companies backlog will hit +1 billion dollars by June 30 2009.

Market participants who dont understand and integrate obfuscation, should not be taken seriously......at all.

I would say that this security is part of an exclusive list that is functioning at 100% systemic influence.....and there for deserves the 2nd quarters, MAC S GIABALLA Outed Award.

I see a gap on its chart. Oh my, so Now we as investors, must submit our investments to the whiles and whims of a trade in complete deficit to net balance due?

No Supply and demand functioning......
How many naked shorts are present in this trade every day?

A. Must be equal to the float.

this would be a good story to illustrate for a jury, the bottom line.
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