From 2021-2022 It's clearly tells me that AMC been saved by diluted shares.
Using the 10-year U.S. Treasury yield (monthly K-line) as a reference standard, review the historical trend of the S&P 500 Index (monthly K-line) from the peak to the bottom: Blue line: S&P 500; Purple line: 10-year U.S. Treasury yield Every time yields fall from highs to lows (yellow box), the S&P moves in tandem most of the time, representing capital entering...
Since the price has been suppressed for a long time, it is comparable to the level before the rise in 2021. There are three signals worth paying attention to from the analysis of the weekly line trend from the technical form: 1. The price contraction trend is already on the eve of breaking through the pressure level (the red and blue lines under the red wave...
Similar to the situation before the sharp rise in 2021, internal personnel are once again selling their shares in bulk. I seem to have witnessed the same pattern, and it's only after experiencing it that one won't be afraid.
There are two company bonds trade very good price recently. Bond invest must be thinking that AMC could pay them well. Who are the buyers? Normally hedge funds like Antara.
have a look those three data, they should match to each other
Fitch Ratings downgraded its US debt rating on Tuesday from the highest AAA rating to AA+
Several credit rating agencies around the world have downgraded their credit ratings of the U.S. federal government, including Standard & Poor's (S&P) which reduced the country's rating from AAA (outstanding) to AA+ (excellent) on August 5, 2011.
1. Antara Capital is sub advisor to Corbin ERISA Opportunity Fund Ltd (“Corbin ERISA Fund”) and Corbin Opportunity Fund LP (“Corbin Opportunity Fund”), has shared voting and dispositive power over 61,818,175 APEs, representing 8.8% of the outstanding APEs; January 04, 2023 2. Corbin ERISA Fund own 2.9% shares of L&F Acquisition CO. CEO is Adam Gerchen, he is also...
ANTARA/BOA/UBS/CHARLES SCHWAB collected data of gamma exposure and some big guys positions here. as you can see the gamma turned to long and high. Those big guys reported their positions in recently that is effectively in March.31.2023. very interested.
time line from Oct.14.2021 to recently. positive gamma means large call option. negative gamma means large put option. all data from fintel.