With main reddit sub devolving in whatever that shit is, what are people here thinking about it?
Looks like momentum was lost? Was the 3b worth it from shareholder perspective?
Kinda hard to accept the sub justifying considering the squeeze was stated the goal on there, esp in context of DRS that was essentially undone.
With all the people gloating about their call positions and the massive call interest on the options chain, someone was going to cash out on a price run that week, and between opportunistic YOLOers and the company itself which I hold long term shares in, I do prefer the latter