many smaller ants here seem to consider it a negative for forigners to have sold massive volume of stocks yesterday. if they had not sold theirs, the share price would have ,of course, come to the hike. I also wonder as others why they did choose to sell off massively at the time the price goes well. maybe, as one way of risk management ? or, as a kind of strategy ? literally I have no idea.
speaking of forigners holding volume, its ,however, something like both sides of coin. it could work as an angel to us in the near future, or, reversly as a devil. in my perspective, I think that the present shape of foregners big disposal is rather better to us anyway cuz it would much lessen the pressure to harm the share price when it enters the upper limit.