It'll take me too long to explain the logic, math, analysis... so short version: This stock will hit $10 in first half 2011 (barring general overall market meltdown like we saw in late 08/early 09.
For the next few quarters we are going to see volatility leading into the announcements and after. Some will jump back in shorting the stock now (driving price down a little bit). It'll climb back up on the performance and fundamentals leading up to announcement then the shorts will move to cover causing it to spike when the shorts will move back in. We'll see this cycling phenomenon for the next several quarters (or all next year).