Tell me about it. Bought into a company at $6 it has been shorted to 0.60. that is despite 8 straight earnings beats in a row. Has more cash in the bank than market value. Boils my piss. I think half the problem is it started as a spac and retail of about 55 to 60%.
When I first bought in the amount of shorted shares were about 5 million which was a small amount of the float, not it's around 50 million and it's about 14% of the float. I could understand if the company was missing earnings left right and centre. The last earning beat followed by a 30% drop in share price, it's mental.
It got to the point wall street decided who is going to win or lose regardless of the company, until the company reaches a point where they have to let it go.