Look at the graph since April. I can this interpretate only as a bullish bias before the massive squeeze release
Two bullish divergences on the chart with ClosRSI 14% and 60% ShortRatio at the end of trading day (02.07.2021) in bullish trend (SMA50 at 2.20$ and SMA200 at 2$ on YTD) after bearish trap PIVOT 2,20$ at SMA50 YTD Good fundamentals (P/E a little bit over 2, profitable company in financial sector after changing their business model)