Hey guys, hate to belabor the point, but I think it is important for someone, preferably a long, to put some substance behind this squeeze scenario. Everybody loves to hear the words "Short Squeeze", but like the little boy who cried wolf it is beginning to wear thin. Don't misinterpret me, I'm all for participating, but I would like to see some concrete posts explaining why this should be consider a squeeze. None of this politician talk either.... something to chew on tonight would be most appreciated. And also, I think the term, "This baby will Gap in the morning" is also being overused. I'm only trying to make a decision here as to whether or not I hold short/mid/long term or bailout at the first sign of trouble. My naivete is being exorcised each day I play this game, but I am still able to hear out a good sales pitch - good or bad. Right now I'm a participant because of the combined buying strength of BigDog/Copia/TMex. As we all know it is a coalition which has taken root this week. Hopefully for the benefit of all it will sustain itself. Other than TEXN and DIXS, perhaps TVSI may also be a beneficiary of this alliance......
BUT, I'd still like someones take on this so called short squeeze.
Good Luck, Russ |