$FORM is really curious, from the contract data, the ratio of short to long positions is 8:2, and the ratio of short to long amounts is 2:8. There is hardly any trading volume every day. How does this operator plan to exit their long positions? Or how long do they intend to hold on to them?
This ECG is really something, the dog kennel is truly impressive. After a week of emptiness, I made 80U and ran away, unable to predict this crazy trend.
$PNUT When I entered the square, I saw how lively it was. Then the question came, the more lively it was, the more retail investors there were. What would happen if there were more retail investors? You know the answer, right?