SqueezeRadar
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BARK

Moderate · 42/100

BARK, Inc.

Consumer Cyclical · Specialty Retail

$10.92-0.06% todayupdating…
Ignitingconfluence across 4signals
Squeeze fuel
  • 9 days to cover
  • tiny 5M float
  • fails-to-deliver rising
  • volatility squeeze fired
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Key Statistics

Short Interest
13.92%
% of float
Days to Cover
8.5
days
Daily Short Vol
40.2%
46% 5d avg · FINRA
Fails to Deliver
5
rising balance ↑ · SEC
Volatility
Fired ⚡
just released
Float
5.46M
shares
Cost to Borrow
CTB fee · IBKR
Shares Available
to borrow · IBKR
Rel. Volume
0.03×
vs 20-day avg
RSI (14)
60.6
Neutral
Call/Put Ratio
11.63
OI ratio
Shares Short
733.0K
shares
Prior Month Short
shares
WSB Mentions
None this week
r/WallStreetBets · 7 days
Market Cap
96.05M
USD
Volume
5.0K
today
Avg Volume
90.9K
30-day avg
50-day MA
$9.41
Price above ↑
200-day MA
Price below ↓

ⓘ Short interest from FINRA via Yahoo Finance (biweekly, ~2–3 week lag). Cost-to-borrow & shares-available from the Interactive Brokers feed via iBorrowDesk — the free proxy for utilization. Daily short-sale volume from the FINRA consolidated daily file (2026-07-02) — the fresh short pulse vs the ~2-week-lagged biweekly SI. SEC FTD files are aggregate balances and can lag the trading setup. Price, volume, and technicals from market data. Last updated: Jul 6, 02:18 PM

42/ 100
Squeeze Confidence
42/ 100
Moderate
Short Float %13.92%
10 / 25

% of free float currently sold short

Days to Cover8.5 days
13 / 20

Shares short ÷ avg daily volume

Float Size5.46M shares
10 / 15

Freely tradeable shares — smaller = more volatile

Borrow PressureCTB n/a
0 / 22

Cost-to-borrow + availability — the utilization proxy (IBKR feed)

Relative Volume0.03×
0 / 8

Current volume ÷ 20-day average volume

MomentumRSI 60.6
3 / 6

RSI(14) + price vs. 50/200-day moving averages

Options Flow11.63 C/P
4 / 4

Call / Put open interest ratio (gamma fuel)

Daily Short Pressure40.2% of daily vol
0 / 6

Short volume ÷ total volume (FINRA daily) — the fresh short pulse vs the biweekly SI

Rising FTD balanceSEC aggregate fails-to-deliver balances are rising versus the prior file. This is settlement-pressure context, not proof of naked shorting. Score boosted +2.
50-day MA: Above ↑
200-day MA: Below ↓

What to Watch

  • Short interest at 13.92% of float — moderate level
  • 8.5 days to cover — shorts would need sustained volume to exit
  • 5.46M share float — low float adds volatility
  • Borrow data n/a — easy to borrow: little borrow-side pressure
  • Volume 0.0× normal — quiet — awaiting catalyst
  • Price above 50-day MA — momentum shifted bullish, shorts face stop-loss pressure

Squeeze Conditions Checklist

High Short Interest (>20%)
Long Days to Cover (>7)
Low Float (<20M shares)
Hard to Borrow (high CTB / scarce supply)
Volume Spike (RVOL >2.5×)
Price above 50-day MA
RSI Building Momentum (>60)
Call-Heavy Options Flow
Short Interest Increasing
Fresh Catalyst (recent news)

SEC Filings · last 45 days

Gamma / Max Pain · exp 2026-08-21

Max Pain
$2
+446.2% vs price
Call / Put OI
11.63
814 / 70
Call Wall
heaviest call OI above
Put Support
$2
heaviest put OI below