$AMC I just can't understand the bull case. Nobody is saying this is based on the fundamentals of the company. Bulls seem to be better on them holding, but so what? Perhaps this helps a little bit with fewer available short shares, but that doesn't prevent other longs from selling. They whole theory seems to be based on trusting people you don't know to ignore their own finances and profits and be willing to hold while this goes into the ground because the business prospects are limited.