"To answer how I'm going to play this is simple. The past ten years MYL high and low was 40%-100% apart every year 52 week high is ~28.7 low ~14.3 buy now sell 6-12 months 2003 H~28.8 L~15.6 2002 H~16.6 L~11.2 2001 H~16.9 L~9 2000 H~14.3 L~7.1 1999 H~14.2 L~7.6 1998 H~16 L~7.6 Buy as much as you can when it is time sell 2/3 rd keep the rest till you ready to retire."
I don't mean to come off as a smart a**. I just know MYL. If things have really change there then I'll be the first to admit it. Unfortunatly, they haven't yet. Secondly, where was I wrong on VIVO? I'm long and think it is a good company.