Storyline: CFO sold shares + (bad economic data incoming?)
Chart: Weekly high broken, retrace due as usual.
Question: Was that whole pump really reasonable?

You can bet that the majority of retail investors bought (as always) on the very top during this wonderful pump and now just patiently waits to feel the real pain of retracement. I doubt in general, that this was a major turnaround for the company, yet.
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