The Dow and NAZ close with a small gain (or a small loss)today, Same for tomorrow. Thursday morning the bottom is "declared". The DOW will add 200 points going into OVTI earnings. Friday will continue and take OVTI with it.
Today I got tired of sitting around with my thumb up my butt....I bailed totally at ~25.50, bought back at ~24.50 and a few smaller zig 'n zags. If reducing my basis is as good as it gets...well ok.
Seriously, I will hold solid after today (maybe???) I think earnings and revenue will be solid, guidance will be good, WFC will be discussed or fully announced, and I'll bet they do another share buyback. (I would rather see a one time special dividend)