Atty, you don't know the complete story on my risk taking. How about this: 20% of my 2 stock portfolio is financed by MARGIN. I do own a little of ABT as a 3rd stock, but it's really small. I bet that has you scratching your head. Hey I've had my share of losses in the past and I do bail if things don't pan out. Bought a nice position in RUTH at 20, several years ago, bailed at 15 and stock is now around $5/sh. Poor grandkids, still have some that I bought for them. I've also had a 2, 3, and a 5 bagger. So until I get the feel that TEVA is not panning out, or it's really overvalued, I'm in for the ride.