I will hold too. However please explain about the MM part. How can you tell that, and wouldn't it make more sense to send prices down when the environment is easy to do? My understanding is that it would be harder to do on good news when more people would be ready to buy. How much power would one need to have to send something from pre-market near +10% to -7%? I would have guessed it's people who were burnt by the last earnings day where prices were high on good earnings and immediately plummeted, wanting to break even and get out this time round.