I may be way out of line to interject my thoughts, but are you kidding me?
We will only see 5.5 or below IF:
1.) We have another financial meltdown or major sell off 2.) War in the Middle East 3.) This fails in clinical trials
This does not eliminate my concern for the SP when I have doubled down on margin:0).
In my opinion, to hope it will drop to the low fours or fives again is not to appreciate the enormity of what we have here or the impact that the institutions buying into this company in massive amounts that gives strength of the stock.
I am on a limb here, and may be wrong, and if I am, bring this post to the top and I will eat my words in humility. I don’t pump, I don’t short, I am long.