Cowen and Leerink both say buy on weakness.
Screw it, I opened a bull call spread 77.50/87.50 exp Jan 2013.
Closed my position yesterday. That was almost a double. Still have my long-term stock long position. Not sure what to do as an option play here now.
Closed my position today for about 90% ROI. That was nice. Now what to do?
Hmmn, wait or cash out with a 50% gain... decisions decisions...
sell it now and take profit
Any closing price predictions??? mine is $82.60.