Author is bullish MNDR on a microfloat, tightening share supply, volume expansion, and a technical roadmap above $2.
Unpriced research observations (excluded from Calls and Returns):
MNDR — LONG Author took a starter position in MNDR based on prior levels, arguing that above $2 the stock can gap hard given a roughly 1M float with 30% insider ownership leaving about 700k effective float. They cite volume expansion (5M+ today vs 330k 20-day average), tightening share availability, and technical levels with the 200 DMA at 4.41 as a magnet. The stated risk is framed as low dilution risk relative to microfloat peers, with advice to take profits. resolved_asset_type_mismatch
Took a starter here based on prior levels — above $2 this can GAP hard