Looks like normal accumulative buying, eat it up to new high for a day - day 2 load the sell depth and mop up loose hands - day 3 start the cycle again
maybe a bit of FOMO was playing there too, glad I bought up a bit at 34
The question is what is the company Worth Now? Well IMO theoretically it is somewhere around NPV discounted for Risk. However in reality I believe we should be able to hit a stable 60 - 70c in the close MT timeline